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Treasury Manager

Search Pros Inc

Manager, Treasury Debt and InvestmentsOnsite in Millbrae, CA The Manager, Treasury Debt and Investments reports to the Chief Financial Officer and manages investments, debt issuances, cash flow, activities related to managing the debt portfolio and compliance in accordance with Generally Accepted Accounting Principles (GAAP) and Government Accounting Standards Board (GASB) for the San Mateo County Transit District (SamTrans), Peninsula Corridor Joint Powers Board (Caltrain), the San Mateo County Transportation Authority (TA), and the San Mateo County Express Lanes Joint Powers Authority (Express Lanes).Examples of Essential Functions & Duties:Manages the timing, issuance, and compliance of all debt instruments for the treasury department.Creates financing plans as needed for all four agencies' cash flow and debt transactions. Prepare and maintain long-term cash flow forecasts to adequately manage and anticipate debt and investment portfolios.Oversees the investment and management of the agencies' long-term investment portfolios, including the development of investment strategies for each, managing external portfolio managers, and following agency investment policies.Works with Municipal Advisors to oversee the production of official statements for bond offerings and prepares portions of the official statements and closing of bond issues.Develops, documents, and maintains necessary agency policies, including but not limited to debt, investment, and reserves for all agencies.Maintain compliance on all bond issuances, including annual repository, certificate filings, and arbitrage calculations.Supervise staff. Hire, mentor, and take appropriate corrective and/or disciplinary action. Ensure EEO policies and procedures are followed. Participate in selection of staff. Coordinate staff training and professional development. Establish performance objectives. Monitor and evaluate employee performance.Minimum Qualifications: Sufficient experience, training and/or education to demonstrate the knowledge and ability to successfully perform the essential functions of the position. In lieu of a degree, work-related experience that demonstrates the skills and experience necessary to perform this role will be accepted. Development of the required knowledge and abilities is typically obtained through but not limited to:Bachelor's degree in accounting, finance, or closely related field.Five (5) years of full-time, progressive experience in the fields of accounting, finance, or treasury.Three (3) years of full-time experience in government capital financing, debt management, and investment securities including issuance of three or more municipal bond offerings.Three (3) years of project lead or supervisory experience.Preferred Qualifications:Professional certification such as Certified Treasury Professional (CTP), Chartered Financial Analyst (CFA) or Certified Public Finance Officer (CPFO) is desirable.Proficient with Microsoft Excel and financial modeling and analysis.Experience with automated financial management systems (e.g., PeopleSoft, Clearwater).Possesses effective written and oral communication skills.Working knowledge of GAAPAbility to pass Background, Drug Screen and if applicable Medical Screenings (i.e. Vision, Hearing, or Physical) if Required by Client. Medical, dental, vision, ancillary coverage and 401k benefits are available.

Vacancy posted 20 hours ago
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