Treasury Manager
$98.12k - $142.09kRhebo
At Landis+Gyr, we don’t just manage energy—we lead the transformation toward a smarter and more sustainable energy future.With a net revenue of USD 1.73 billion in FY 2024, and a presence in over 30 countries across five continents, Landis+Gyr empowers utilities and consumers to optimize energy usage through advanced metering, grid-edge intelligence, and powerful data analytics.Today, our global team of about 6,300 professionals is shaping the digital energy era—developing innovative technologies that support decarbonization, grid modernization, and real-time energy insights. Our record USD 4.6 billion order backlog and strong book-to-bill ratio reflect long-term confidence in our mission and solutions.Join us at Landis+Gyr, where we manage energy better!Job Summary• Ensure the optimal funding of Group and group companies with primary responsibility for Americas entities, and cash management of holding company• Lead Americas cash forecasting, liquidity planning, and working capital optimization to support operational and strategic needs• Minimize impact of financial risks through appropriate risk management strategies (fx hedging, interest rate hedging etc.)• Maintain efficient tools and process for cash management and hedging including treasury management system, connectivity with other systems, host to host connectivity, and banking platforms• Ensure compliance with Americas treasury, banking, and regulatory requirementsKPIsMinimum cost of funding, return on investment, forecast accuracy, minimum cash level in subsidiaries, efficient risk management of foreign currency exposures, optimized working capital and credit utilization, automated processes with minimal manual tasksCore Areas of Responsibility/Accountability• Manage the liquidity of the Group and its subsidiaries, with a primary focus on US operations; optimize short- to mid-term funding in different currencies (external loans, intercompany cash pooling and loan positions, overdrafts, investments)• Own and continuously improve Americas cash forecasting process, including short-term liquidity forecasting and mid-term planning, in close coordination with Finance and business teams• Optimize currency positions across cash pooling structures, including USD-centric funding, investments, and cross-currency positioning• Assess foreign currency exposure of Group companies and implement adequate hedging strategies with the business• Manage foreign currency exposure of the holding company and execute hedges (cash flow hedges, balance sheet hedges, net investment hedges)• Be responsible for management of the Group intercompany loan portfolio, including tax, legal, and transfer pricing considerations, and coordinate with Tax, Legal, and Treasury stakeholders• Maintain an adequate and efficient bank structure, cash pooling, and host-to-host connectivity; negotiate terms and conditions, manage credit facilities, and monitor bank fees• Oversee working capital and credit management primarily for Americas entities, including bank credit lines, guarantees, and liquidity buffers• Contribute to and enhance Group-wide cash forecasting standards, accuracy, and efficiency• Automate and optimize Treasury processes and systems; act as point of contact for technical questions (Treasury Management System, Netting system, e-banking platforms)• Support the Treasury Analyst in cash management-related matters• Back up Treasury Analyst tasks (interest calculation on intercompany loans, IC netting, reporting, etc.)• Participate in and/or lead Treasury-related projects, particularly those impacting Americas operations• Contribute to Treasury policy definition, internal controls, and Treasury reporting in line with US GAAP, SOX and internal governanceExperience • At least 7 years of professional experience, with a minimum of 5 years in a corporate treasury function covering FX, cash management, and liquidity in an international organization• Must be comfortable working at both a strategic and operational level• Strong experience in treasury operations, including local banking, cash forecasting, and liquidity management• Understanding of financial statements, working capital and cash conversion cycle• Experience of cash management at Group / Holding level• Proficiency in using Treasury Management System, Banking platforms, Trading Software (360T), Bloomberg and Excel• Experience in trade finance / guarantees is a plus• Exposure to credit risk management is a plusEducation• Bachelor's degree in finance/ banking or a related field with professional certifications such as Certified Treasury Professional, Chartered Financial Analyst (CFA) or similar, Masters preferred• Fluent in English (written and spoken)Landis+Gyr is a global leader in energy management solutions, operating in over 30 countries and headquartered in Switzerland. We are thrilled that you’ve considered Landis+Gyr to be a part of your professional journey. As a part of the L+G family, employees are offered a comprehensive and competitive package of benefits including medical, dental and vision coverage, life insurance, and a 401(k)-retirement plan featuring a generous company match incentive. Additionally, we offer three (3) weeks of Paid Time Off (PTO) as well as eleven (11) paid holidays. We also offer a tuition reimbursement program, optional pet insurance, supplemental medical coverage and a host of other perks to ensure the health, wellness, and enrichment of our team members.Pay is in the range of $98,122 - $142,088 per year. The position is eligible for a 401(k) match and consideration for an annual bonus. The actual base salary offered depends on a variety of factors, which may include, as applicable, the qualifications of the individual applicant for the position, years of relevant experience, specific and unique skills, level of education attained, and certifications or other professional licenses held. All candidates are encouraged to apply.All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, disability, or status as a protected veteran.We value and encourage diversity in our team. This position is open to all qualified candidates regardless of gender, race, age, disability, sexual orientation, or background. We're committed to shaping a better future for everyone. #EnergizeYourCareer and join us on our journey towards a greener tomorrow.
- ...departments and divisions.Reviewsbudgetrequestswiththedepartmentheadandothermanagementstaff.Provides technical expertise to department managers, finance staff, City employees, and the general public regarding assigned accounting and budgeting responsibilities; provides...SuggestedContract workLocal area
- ...Job Description Job Description Treasury Manager – Global About Arclin You can find Arclin everywhere. Our technologies make homes and transportation safer, help crops flourish, keep water clean, protect first responders and members of the military, and preserve...SuggestedTemporary workBank staff
- ...Our client is hiring for a Sr. Manager, Treasury in Lawrenceville, GA. This role serves as the senior leader for Treasury and Credit functions at an ESOP organization spanning multiple business units, including chemical distribution and third-party warehousing. The Sr....SuggestedTemporary work
- ...Tax Manager, CPA To Apply Now - email your resume to ****@*****.*** Who: A well-established CPA firm is seeking a licensed CPA with strong tax expertise and leadership ability. What: You will manage a book of business and serve as...SuggestedWork at officeImmediate start
- ...invoices timely and accurately. Perform various accounting functions including analyzing and processing Accounts Payable transactions, managing internal and external customer data request, maintaining files, processing P.O., and receiving documents, and contacting and...SuggestedFull timeCasual workLocal areaRemote workWork from home
- ...and enter payments via phone, email, and mail. Enter customer invoices into portals and follow up to resolve all submission issues. Manage outstanding payment issues and generate aging reports and related correspondence in a timely manner. Escalating issues...Work experience placementWork at office
- ...accounting systems. The ideal candidate possesses strong organizational skills, exceptional attention to detail, and the ability to manage multiple priorities in a fast-paced professional services environment. Duties and Responsibilities: Process and apply...Work experience placementH1bWork at office
- ...related to the collection of customer accounts and customer service. This position operates under supervision of the Accounts Receivable Manager and as part of the full Accounts Receivable team. Job Summary / Purpose: As Accounts Receivable (AR) Analyst, you will report to...Temporary workWork at officeLocal areaWorldwideFlexible hours
- ...strong financial controls and process consistency across dealership operations Qualifications Experience with a Dealership Management System (DMS) preferred Automotive Accounts Receivable / Accounts Payable experience preferred Accounting degree preferred,...
- ...reconcile plant-level and corporate financial data while building the Excel-based models and tools that drive monthly close and management reporting. Advanced Excel skills are essential here, along with the ability to dig into variances and partner directly with plant...
$76.4k - $127.4k
...contributor in a complex environment, serving as a resource for colleagues with less experience and directing work without formal management responsibilities using internal or external resources to accomplish goals. This position does not have direct reports but may...Full timeWork at officeWork from homeFlexible hours$36.7k - $61.3k
...Laundering/Counter Terrorist Financing, Identity Authentication & Verification, Fraud and Credit Risk mitigation and Customer Data Management. You can learn more about LexisNexis Risk at the link below, risk.lexisnexis.com About our Team: A lean team of super-...Contract workTemporary workWork at officeLocal area- ...and or insurance partners according to manufacturer and Classic Collision guidelines. Partners with the insurance companies to manage customers claim to insure the best customer experience. Maintains communication with customers providing updates on repair process...Hourly payWeekly payFull timeLocal areaImmediate start
- ...upload any notices and documents received from jurisdictions. Log notices into the appropriate client accounts and analyze trends. Manage the sales compliance paper returns, including time-sensitive tax returns. Conduct a monthly check of paper returns to ensure accurate...
- ...Job Title Sr. Commercial Credit Underwriter/Analyst Department: Underwriting Reports To: Credit Manager FLSA Status: Exempt Position Summary Prepare written credit narratives for large dealer relationships based on information obtained by various parties in the course...Permanent employmentTemporary work
- ...designation or progress toward CPA is a strong plus. ~ Strong knowledge of U.S. GAAP and tax code. ~ Ability to work independently and manage multiple deadlines. ~ Strong communication skills and proficiency in cloud-based accounting platforms. If you're interested...Remote jobImmediate start
- ...for performing financial, compliance and operational audits. The Senior Internal Auditor will also be responsible for evaluating management controls and compliance with internal policies, performing special projects and reporting findings to Senior Management. Requirements...Work at office
- ...to more than 50 million Americans. About the Senior Internal Auditor Position Are you a strategic thinker with a passion for risk management, compliance, and operational excellence? Do you thrive in a collaborative environment where your insights drive meaningful change...Local area
$76.4k - $127.4k
...analytical and accounting skills, experience working with large ERP and HRIS software, and ability to work with multiple levels of management.Key ResponsibilitiesHandle the monthly general ledger close process including preparing GL account reconciliations and...Full timeWork at office$160k
...Senior Tax Accounting Manager North Atlanta (On-site) A global manufacturing company with $4B+ in annual revenue is seeking a Senior Tax Accounting Manager to lead ASC 740 reporting and tax provision processes for a growing team of nine. What You'll Do: Lead...Full time- ...hours off season and capped 55 hours during busy season). Work life balance is important to us and we are looking to bring on Tax Managers or Sr. Tax Managers to our team. If this sounds like a fit, please read on!***Heavily Hybrid and Fully REMOTE models available***...Immediate startRemote work
$105k - $140k
...providers, auditors, consultants, and internal stakeholders to manage tax filings, provisions, audits, and special projects. Summary... ...tracking audit exposures. Partner with Accounting, Finance, Legal, Treasury, and Operations teams on tax-related matters. Manage...Work at officeLocal area3 days per week- Kloeckner Metals - Americas is seeking a Senior Tax Analyst to manage U.S. and Mexico tax compliance, accounting, reporting, audits, and planning. This hybrid role is based in Alpharetta, GA, collaborating with external providers and internal teams to ensure timely tax...
- ...being Generous PTO (up to 27 days), 8 paid holidays, year-end week off, and half-day Fridays outside of tax season As the Tax Manager Accountant you’ll oversee daily operations, coach, hire and inspire your team, strengthen current client relationships and build...Work at officeImmediate start
- ...use tax research by gathering relevant data and documentation to support inquiries and audit defense.* Support new store growth by managing sales tax licensing and registration filings and coordinating Vertex O Series set up for new locations.* Assist with tracking...Local areaImmediate startMonday to FridayFlexible hours
- ...independent problem-solving skills.What you’ll do:Tax Payment & Filing- In partnership with our Payroll Tax Vendor, responsible for managing federal and multi-state compliance and managing appropriate deadlines to ensure 100% accuracy and timeliness.Tax Notice Research &...Full timeTemporary workH1bWork at officeLocal areaMonday to Friday
$90k - $110k
...Partnering with international tax teams to align global provisions with U.S. GAAPHelping consolidate global tax calculations for management reportingSupporting internal and external reporting, including Board materials and annual tax footnotesCoordinating compliance activities...Full timeWork at office- ...areas of expertise, who have strong leadership skills, align with our culture, and are committed to excellence.The Sr. Accounting Manager’s purpose is to provide the highest quality service and information to both internal and external customers by maximizing the team’...Permanent employmentFull timeTemporary workInternship
- Position Overview:The Senior Corporate Accounting Manager will play a strategic leadership role within the Company’s accounting organization, supporting a publicly traded, multi-entity enterprise with approximately $2.8B in annual revenue. This role will work closely with...Work at office
$75k - $85k
...contribute to a collaborative, high-performing finance team. Key Responsibilities Process payroll for domestic and international employees. Manage accounts payable, including invoice entry, payments, and vendor communication. Perform bank reconciliations, cash applications, and...Full timeWork at office1 day per week
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Manager. Be the first to apply!



