Treasurer
Truity Partners
* Required field.
Our client is an organization in the Milwaukee area looking for a Treasurer . Our client is looking for an accomplished treasury leader with deep expertise in cash management, liquidity, foreign exchange, and corporate finance. This individual will serve as a strategic partner to senior leadership while maintaining a hands-on approach to treasury operations. The ideal candidate will bring the financial judgment and leadership necessary to support capital allocation, strategic investments, acquisitions, financing activities, and continued enterprise growth.
- Provide strategic leadership and oversight of the organization's treasury function, including cash, liquidity, capital structure, financing, and financial risk management.
- Develop and execute treasury strategies that support business objectives, financial flexibility, and long-term growth.
- Oversee global cash positioning, forecasting, and liquidity planning to ensure appropriate funding for operational and strategic needs.
- Manage foreign exchange exposure and related risk management activities, including the development and execution of appropriate hedging strategies.
- Partner with executive, business, and functional leaders on capital allocation decisions and significant investment opportunities.
- Provide treasury and financing expertise in support of acquisitions and other strategic transactions.
- Evaluate funding alternatives and develop financing strategies for acquisitions, investments, and broader corporate initiatives.
- Maintain and optimize relationships with banks, lenders, and other external financial partners.
- Evaluate the organization's capital structure and recommend strategies related to debt, liquidity, and financing.
- Lead debt management activities, including compliance with financing agreements, covenant requirements, and related reporting.
- Develop financial analyses and recommendations to support strategic decision-making and enterprise growth initiatives.
- Identify, evaluate, and manage financial risks related to liquidity, interest rates, foreign currency, and other treasury exposures.
- Establish effective treasury policies, controls, and processes that support strong governance and risk management.
- Monitor market conditions and economic developments that could impact financing, liquidity, foreign exchange, or capital decisions.
- Partner cross-functionally with Accounting, Finance, Tax, Legal, and business leadership on treasury and strategic initiatives.
- Drive improvements in treasury systems, processes, reporting, and overall operational effectiveness.
- Lead, develop, and mentor treasury professionals while maintaining the ability to work directly within the details when necessary.
- Bachelor's degree in Finance, Accounting, Economics, or a related field required; MBA, CTP, CFA, or other advanced credentials preferred.
- 10+ years of progressive treasury, corporate finance, or related experience, including significant leadership responsibility.
- Deep experience with cash management, liquidity planning, and treasury operations required.
- Foreign exchange experience required, including experience identifying and managing currency-related exposures.
- Strong understanding of capital structure, debt, financing strategies, banking relationships, and financial risk management.
- Demonstrated ability to operate as both a strategic leader and hands-on treasury professional.
- Experience partnering with senior leadership on capital allocation, strategic investments, and enterprise-level financial decisions.
- Experience supporting M&A and acquisition financing strongly preferred.
- Public company treasury experience preferred.
- Experience within an acquisitive or growth-oriented organization is highly desirable.
- Strong financial and analytical judgment with the ability to evaluate complex financing and investment decisions.
- Proven leadership skills with the ability to develop teams and influence across functions.
- Executive-level communication and relationship-building skills with the ability to effectively interact with internal leadership and external financial partners.
- Proactive and commercially minded with the ability to balance strategic priorities, financial discipline, risk management, and operational execution.
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