Senior Manager of Treasury POST NUMBER: 481318
Vaco is assisting a client in identifying a Senior Manager of Treasury to join their finance team. This publicly traded organization operates in a highly regulated, innovation-driven industry and offers a stable, employee-centric culture with low turnover and strong leadership visibility.
Required
About the Role
The Senior Manager of Treasury is a key member of the Finance team, responsible for overseeing treasury operations while driving analytical insights and strategic initiatives. This role blends day-to-day execution with forward-looking financial modeling and risk analysis.
- Oversee global cash positioning, forecasting, and liquidity planning
- Review and support disbursement processes, including foreign currency transactions
- Manage core treasury operations such as cash movements, bank relationships, and account administration
- Monitor short-term investments with a focus on capital preservation and liquidity
- Analyze portfolio performance (yield, duration, exposure) and provide recommendations
- Prepare recurring treasury and cash reporting for leadership, including executive-level summaries
- Maintain and refine cash flow forecasts; analyze variances vs. actuals
- Partner with Accounting and FP&A on financial data, reporting support, and process alignment
- Support internal controls, audit requests, and compliance-related activities
- Assist with debt, credit facility, and liquidity monitoring
- Perform financial risk analysis (interest rate, liquidity, counterparty exposure)
- Build and maintain financial models, including scenario and stress testing
- Drive process improvements, automation, and system enhancements
- Support cross-functional initiatives and ad hoc projects
Required
- Bachelor’s degree in Accounting or Finance
- 10 years of progressive experience in treasury, finance, or accounting
- Strong experience with cash management, investments, and financial analysis
- Advanced Excel and financial modeling capabilities
- Understanding of financial instruments and risk management concepts
- Experience working with treasury or financial systems
- High attention to detail and strong problem-solving skills
- Ability to communicate financial insights clearly to non-technical stakeholders
- Advanced degree or relevant certifications (e.g., CTP, CPA, CFA)
- Experience in a complex, fast-paced corporate environment
- Exposure to data tools or visualization platforms (e.g., Power BI, Tableau)
- Experience with ERP systems and treasury platforms
- Hybrid schedule (in-office a few days per week)
- Stable, employee-focused culture with strong retention and low turnover
- Regular exposure to senior leadership including CFO-level interaction
- Competitive compensation, bonus potential, and long-term incentives
- Opportunities for growth, ownership, and strategic impact
Vacancy posted 9 days ago
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