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Senior Manager, Treasury

Build and scale corporate treasury function for a high-growth defense tech company. Oversee global cash management, FX risk, banking relationships, and liquidity planning.

140k – 250kSan Francisco, CAFinance & AccountingOnsite8+ YOE

About the role

Responsibilities

  • Oversee global treasury operations, including daily cash positioning, liquidity management, and banking relationship management.
  • Build and maintain cash flow and free cash flow forecasts to support liquidity planning and executive decision-making.
  • Develop and execute cash management strategies to optimize working capital and minimize idle cash balances.
  • Establish and enhance treasury policies, controls, and governance frameworks to mitigate financial and operational risk.
  • Monitor foreign exchange (FX) exposures and support the development of hedging strategies.
  • Ensure compliance with debt covenants and reporting requirements under credit facilities and loan agreements.
  • Negotiate banking terms, credit facilities, and fee structures to optimize cost efficiency and service levels.
  • Lead intercompany funding activities and oversee treasury transactions across global entities.
  • Partner cross-functionally with FP&A, Accounting, Legal, Tax, and other stakeholders to align treasury strategy with broader corporate objectives.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field; CTP or MBA preferred
  • 8+ years of experience in treasury, corporate finance, FP&A, investment banking, or another analytical role
  • Experience in managing banking structure and bank accounts globally, maintaining and tracking bank register and other ad-hoc regulatory requirements
  • Strong financial modeling and data analysis skills, with the desire to expand into advanced treasury concepts
  • A proactive, detail-oriented problem solver with strong business judgment
  • Excellent communication skills and the ability to collaborate across teams
  • Eagerness to learn, take ownership, and grow within a high-growth, evolving environment

Skills

Treasury ManagementCash Flow ForecastingLiquidity PlanningForeign Exchange (Fx) Risk ManagementBanking Relationship ManagementFinancial ModelingData AnalysisDebt Covenant ComplianceIntercompany FundingTreasury Policy Development

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