Assistant Treasurer
$100k - $130kVero Networks
Assistant Treasurer
Reporting to the EVP of Finance, we're looking for a sharp, driven, and adaptable Assistant Treasurer to join our team. This fully remote, U.S.-based position offers a clear path to Treasurer, serving as a strategic stepping stone to grow into the seat as the company scales and you prove your impact. It is a unique opportunity for an individual who wants to make a direct impact in the dynamic, rapidly evolving, fiber optic communications industry.
The Assistant Treasurer will be the company's hands-on treasury lead, responsible for cash management, treasury controls, and debt compliance reporting across VFN Holdings, Inc. and its subsidiaries. This is a high-visibility, build-it-and-grow-with-it opportunity designed for a current Cash Manager or Treasury Analyst who is ready to step up. You'll get the Assistant Treasurer title now, direct exposure to finance leadership and lenders, and a clear runway to promotion to Treasurer as you demonstrate ownership and impact.
Responsibilities
In this essential role, you will be a key contributor to our Finance & Treasury operations, focusing on a combination of the following critical areas:
- Cash Management: Own daily cash positioning, liquidity forecasting, and bank account administration across all entities; manage short-term funding needs, sweeps, and the consolidated cash forecast to ensure the company always has the right liquidity in the right place.
- Treasury Controls: Establish, document, and enforce treasury controls, including payment approval workflows, bank administration and user access, segregation of duties, and wire/ACH security protocols; partner with accounting on bank reconciliations and treasury-related close items.
- Debt Compliance Reporting: Manage compliance and reporting for the company's credit facilities, including covenant calculations and certificates, borrowing base reporting, draw and paydown requests, and lender and administrative agent reporting packages; track key dates and deliverables to ensure timely, accurate submissions.
- Maintain banking relationships and serve as a primary point of contact for treasury operations with banks, the administrative agent, and lender group.
- Monitor interest rate exposure and debt service obligations; support modeling of liquidity, capacity, and funding scenarios tied to network expansion and M&A activity.
- Support capital markets and financing activity, including facility amendments, expansions, and new facilities, by preparing schedules, reporting, and supporting analysis.
- Build and improve treasury processes, systems, and reporting bringing scalable, repeatable structure to a fast-growing finance function.
- Partner cross-functionally with accounting, FP&A, and subsidiary finance teams on forecasting, funding, and compliance matters.
Qualifications
- Bachelor's degree in Finance, Accounting, Economics, or a related field.
- 36 years of progressive treasury, cash management, banking, or corporate finance experience we are prioritizing talent, drive, and trajectory over years on the resume.
- Solid understanding of cash management and liquidity forecasting; exposure to credit facilities, covenants, or debt compliance reporting is a strong plus (and something you'll deepen quickly in this role).
- Strong Excel and analytical skills, with sharp attention to detail and a controls-oriented mindset.
- Excellent communication skills and the confidence to interact with lenders, auditors, and senior leadership.
- Self-starter who thrives with ownership and ambiguity in a mid-sized, fast-growing company where collaboration and adaptability are key.
Job Details and Physical Requirements
- There is no travel required for this position.
- This position requires the ability to sit and work at a desk for extended periods of time, using a computer and other office equipment.
- This position requires the ability to perform fine motor tasks, such as typing or using a mouse, for extended periods of time.
- The schedule for this position is Monday through Friday during normal business hours, with weeknight and weekend availability as needed to fulfill the core duties of the role.
- This position is Remote.
- This is an Exempt position.
- This is a staff position.
Compensation and Benefits
- Base pay is paid at an annual salary rate. The range for this position is $100,000.00 to $130,000.00 commensurate with experience.
- This position may be eligible for an annual discretionary bonus, based on individual performance and company profitability.
- Paid Life and AD&D Insurance
- Short-Term Disability Insurance
- Medical plans (4 options including 100% company paid options)
- PTO and paid holidays.
- Dental and vision options.
- 401(k) with match.
About Vero
Vero Fiber Networks Holdings is a fast-growing digital infrastructure and telecommunications holding company providing high-quality retail broadband connectivity and wholesale digital infrastructure services across the United States through Vero-owned subsidiaries. As we continue to expand our national network and customer base, we're building a strong internal finance team to support sustainable growth, efficiency, and disciplined capital management.
We're looking for an ambitious, sharp Assistant Treasurer who is ready to take the next step in their career someone who wants to own the day-to-day treasury function today and grow into the company's Treasurer as Vero scales.
Vero Networks$80k - $85k
...arrangement, to join the corporate finance team. We plan to fill this position in the Bay area or Denver. In this position, you will assist the Global Treasury Team with daily operations. Attention to detail, organization, and a deep passion to learn will be the keys to...SuggestedFull timeContract workWork at officeLocal area$65.1k - $81.1k
...Administer and optimize expense reimbursement and travel management platforms Support purchase order (PO) approval and payment processes Assist with equipment lease execution and contract management Banking, Debt & Strategic Support (Monthly/Ad Hoc) Maintain and strengthen...SuggestedContract workTemporary workWork at officeWork from homeWork visaFlexible hoursShift workAfternoon shift$65k - $70k
...account maintenance requests and coordinate with external merchant processing partners to ensure timely and accurate completion. Assist with merchant account inquiries, including fee updates, DBA changes, account documentation, and related follow-up. Communicate...SuggestedFull timeTemporary workWork at officeFlexible hours$82k - $98k
...activities. This role is responsible for monitoring daily cash activity, maintaining bank accounts, supporting cash flow forecasting, and assisting with banking compliance and reporting. The Treasury Analyst partners with internal teams and external banking partners to ensure...SuggestedTemporary workLocal area- ...projects across the organization. Identifies and recommends process improvements to enhance treasury operations and efficiencies. Assists with execution of daily cash management activities, including payment processing. Monitors and analyzes bank and merchant fees, including...SuggestedTemporary workWork at office
- ...Treasury systems, reporting, and process improvements Cross-train and provide backup support across Treasury Operations as needed Assist with special projects assigned by Treasury leadership Qualifications Required 3+ years of experience in Treasury, Banking, Accounting...Contract work
$69.6k - $76.56k
...Stakeholders Management Primary “face” of Treasury, interfacing with Accounting, Finance/AP/AR/Payroll/Tax and other business partners Other Assist with projects and ensure timely follow-up and execution Perform cash management-related payments: short term debt, dividends and...Hourly payFull timeTemporary workWork experience placementWork at officeWork from homeMonday to Friday- Treasury Analyst: Global Cash Management & Banking Relationships Join DaVita's Global Treasury team as a Treasury Analyst focused on global cash management and banking relationships. In this role, you will support cash management, banking, M&A integrations, and treasury...Temporary workRemote work
- Treasury Analyst Primary responsibility is to analyze and maintain the daily cash position and the daily credit line position of the Company including research and analysis, and other projects as assigned. Primary Responsibility Analyze and maintain the daily...
$65k - $85k
...cash transfers, bank documentation, bank online access, etc. Assist with insurance claims, policy renewals, payments, and other day... ...on-time and accurately Regular interaction with the Treasurer and CFO WORK ENVIRONMENT: Location: Denver, Colorado Environment...Temporary workWork experience placementWork at officeFlexible hours$57.78k - $85k
Posting Details Posting Date: 05/27/2026 Location: 2000 16th St, Denver, Colorado, 80202-5117, United States of America Treasury Analyst: Global Cash Management & Banking Relationships Join DaVita’s Global Treasury team and build your career in global cash and bank relationship...Temporary workRemote work$73k - $81k
...banking platforms and access controls Contribute to audit readiness by gathering documentation and supporting compliance activities Assist with materials for financial risk discussions and leadership reviews Support international initiatives through foreign exchange...Local area$90k - $105k
...requirements (such as SOX compliance, if applicable) are strictly adhered to regarding bank account documentation and user access management. Assist in compiling regular reports on accounts, authorities, bank fees, etc. Bank Fee Review Review monthly bank fee analysis statements...Daily paidTemporary work$57.78k - $85k
Exciting Opportunity in Treasury: A Career Path Built on Initiative and Strong Project Management Join DaVita’s dynamic Global Treasury Team and grow your career while managing high-impact global cash and banking relationships. As a Treasury Analyst, you will gain valuable...Temporary workRemote workShift work$68k - $85k
IMA Financial Group, Inc. is seeking a Treasury Operations professional in Denver, Colorado. The role involves cash management activities, banking operations, and supporting finance transformation initiatives. Candidates should have at least 2 years of experience in treasury...$65k - $85k
Advanced Energy Management Limited, located in Denver, Colorado, is seeking a Treasury Analyst to join their treasury team. The successful candidate will manage cash forecasting processes, handle US and international cash management tasks, and ensure compliance with internal...- Arrow Electronics is seeking a Treasury Analyst in Denver, Colorado. This role involves daily cash management, supporting treasury initiatives with a hybrid work model requiring office presence on selected days. The ideal candidate must possess strong analytical skills,...Work at office
$76.1k - $87.1k
...review and exception reporting. Work with internal and external customers to review transfer pricing assigned and methodology. Assists in the design, development, and production of various types of management reports, including sections of the monthly ALCO package....Work experience placementWork at officeWork visaFlexible hours$68k - $85k
...and Positive Pay decisions Support bank account administration, including account openings/closures, signers, and system access Assist with quarterly lender reporting and financial compliance requirements Ensure adherence to internal controls, policies, and procedures...Temporary workInternshipLocal areaFlexible hours- ECA Staffing Solutions, Inc. is seeking a Treasury Analyst in Denver, CO. The primary responsibility involves analyzing the daily cash position and credit line position, ensuring compliance with debt covenants, and developing relationships with banking partners. The ideal...
- Modivcare is seeking a Treasury Analyst III in Denver, Colorado. This position involves managing daily treasury operations, including cash management and bank administration. Candidates will ideally have over 5 years of corporate treasury experience, preferably in healthcare...
- Crusoe Energy Systems seeks a Senior Treasury Analyst in Denver, Colorado, to drive financial innovation and build a best-in-class Treasury function. This role involves collaborating with internal stakeholders, analyzing complex data, and maintaining compliance with financial...
- Arrow Components is seeking a Treasury Analyst in Denver, Colorado. The position involves managing daily cash operations, supporting cash forecasting, and interfacing with various internal stakeholders. The role requires a bachelor's degree in finance or a related field...Work at office
$57.78k - $85k
DaVit is seeking a Treasury Analyst in Denver, Colorado to join their Global Treasury team. You will manage cash and banking operations, handle treasury transactions, and support bank relationships. This hybrid role requires strong analytical skills and 3+ years of treasury...- Crusoe Energy Systems is looking for a Senior Analyst, Treasury Cash Management, to build a best-in-class Treasury function that supports our strategic objectives. The ideal candidate will manage daily cash operations for substantial cash flows, implement Treasury Management...
$65k - $70k
Sage Hospitality Group is seeking a Treasury Analyst in Denver. The role involves managing daily treasury operations, including bank account setups and merchant account administration. Candidates should be organized and detail-oriented, with 3-5 years of experience in a...$65k - $85k
Advanced Energy in Denver, Colorado is seeking a Treasury Analyst I. In this role, you will manage cash forecasting processes and oversee US and international cash management. You will work closely with the treasury team to support banking strategies and ensure compliance...$57.78k - $85k
Dormont Manufacturing Co is looking for a Treasury Analyst to join its Global Treasury Team in Denver, Colorado. This hybrid position involves managing high-impact global cash and banking relationships while ensuring accuracy and efficiency in treasury operations. The ideal...$69.9k - $95k
...projects across the organization. Identifies and recommends process improvements to enhance treasury operations and efficiencies. Assists with execution of daily cash management activities, including payment processing. Monitors and analyzes bank and merchant fees,...Temporary workWork at officeFlexible hours- AIR Communities in Denver is seeking a Treasury Analyst to oversee cash management and banking operations. The ideal candidate will monitor daily cash activities, manage bank accounts, and work closely with both internal teams and external banking partners. The role requires...Work at office
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Assistant Treasurer. Be the first to apply!

