The Assistant Treasurer will play a key role in supporting all Treasury-related functions. Responsible for managing cash management operations, systems and initiatives, maintaining an effective control framework and developing appropriate policies. Responsible for managing banking and investment activities.
Responsibilities
- Manage daily cash management functions to optimize liquidity and working capital
- Drive end-to-end cash forecasting, partner with Accounting, FP&A, and Tax teams
- Manage daily banking operations, bank account management and service oversight, access reviews, and authorized user management
- Partner with our investment portfolio managers to ensure investment activities align with policy and objectives
- Drive intercompany activities, collaborating with Accounting for legal entity funding
- Ensure accurate and timely Treasury reporting
- Manage corporate card program
- Assist Treasurer in developing strategic initiatives to create and maintain a best-in-class treasury organization
- Partner with and support the operations of the company
- Manage and mentor direct report staff
Requirements
Bachelor’s degree in finance, business or related field (MBA, CTP preferred)7+ years of progressive responsibility within a large treasury functionExperience managing, negotiating and administering financial, treasury servicesProven experience in treasury, cash and liquidity management, working capital managementExperienced manager with 5+ years of demonstrated leadership skillsStrong analytical, critical thinking, problem-solving and organizational skillsExcellent verbal, written and interpersonal communication skills, strong collaboratorAble to communicate complex information to a variety of audiences.Possess a ‘roll up your sleeves’ attitudeProficient with the Microsoft Office Suite, including advanced Excel skillsKnowledge of SAP Cloud preferred