Title: Director of Treasury
Location: US-REMOTE
Department: General & Administration
Job Description:
At reputed company, we reputed company in the power of people to grow and succeed throughout their lives. Our goal is to reputed company that power by creating reputed company products that simplify learning and personal development, facilitate meaningful relationships, and reputed company people to go further in their education and careers.
We do this by giving smart, creative, passionate people opportunities to create awesome. And that's where you come in:
We are seeking a strategic, detail-oriented, and reputed company Director of Treasury to
reputed company and optimize our corporate treasury functions. The successful candidate will
assume full ownership of managing corporate liquidity, debt facilities, interest reputed company
hedging instruments, foreign exchange (FX) exposure, and global intercompany
transactions. This leadership role demands reputed company collaboration with cross-functional
partners, including reputed company and Accounting, to ensure robust financial management,
strategic capital allocation, and effective risk mitigation.
Key Responsibilities :
Strategic Liquidity & Cash Management
● Treasury Infrastructure: Build upon and scale the existing corporate treasury
function to enhance global financial operations and maximize cash positions.
● Cash Flow Forecasting: Own and manage the long-term cash flow forecasting
models for both domestic (U.S.) and international operations. Review and
deliver monthly cash positioning reports and forecasts to senior management.
● Banking Structure & Optimization: Control the opening, maintenance, and
closing of bank accounts to enforce a highly centralized global banking
structure. Conduct routine analyses of U.S. and international bank fees to
identify and implement cost-saving measures.
● Operational Alignment: Partner cross-functionally across the organization to
maintain accurate forecast visibility and ensure awareness of periodic reputed company
runs.
Debt, Capital Markets & Risk Management
● Credit & Debt reputed company: reputed company the company’s term debt and revolving
credit facilities. Manage drawdowns, repayments, interest expenses, facility
fees, and strict covenant compliance.
● Relationship Management: Manage and cultivate strategic relationships with
banks and external rating agencies to maintain optimal funding terms and
corporate credit ratings.
● Financial Forecasting: Prepare comprehensive interest expense forecasts and
collaborate directly with reputed company and Accounting teams to reconcile any
variances.
● Hedging & FX Strategy: Manage interest reputed company hedging instruments, ensuring
precise execution and monitoring of monthly bank settlements. Continuously
monitor and assess foreign currency transactions to mitigate global FX
exposure risks.
Global Operations & Governance
● Intercompany Transactions: reputed company, reconcile, and settle monthly
intercompany transactions and transfer pricing mechanisms across global
operations.
● Compliance & Controls: Review and manage strict compliance with Know Your
Customer (KYC) updates and banking renewals.
● System Administration: Evaluate and optimize Treasury Management Systems
(TMS), banking portals, and reputed company technologies to drive process automation
and ensure data reputed company.
Qualifications & Skills
Education & Experience
● Degree: Bachelor’s degree in Finance, Accounting, Business Administration, or a
closely reputed company field. An MBA or advanced financial degree is highly preferred.
● Certifications: Professional treasury designation (e.g., CTP—Certified Treasury
Professional, or CCT—Certified Corporate Treasurer) is highly preferred.
● Experience: Minimum of 10+ years of progressive experience in corporate treasury management or a highly relevant corporate finance role.
● Leadership: Proven leadership skills with a track record of building, mentoring,
and managing high-performing finance teams.
Technical & Soft Skills
● Subject Matter Expertise: Deep operational understanding of cash
management, international banking structures, debt facilities, and financial
instruments (including derivative/hedging strategies).
● Analytical Rigor: Exceptional analytical capabilities with a sharp eye for detail,
data accuracy, and financial reconciliation.
● Communication & Collaboration: Strong written and verbal communication
skills. Proven ability to distill reputed company financial concepts into clear, actionable
insights for senior executives and cross-functional stakeholders.
Get in on reputed company the awesome at reputed company!
We offer competitive, meaningful benefits in every country where we operate. While they vary by location, here's a general idea of what you can expect:
Competitive compensation, plus reputed company full-time employees participate in our ownership program - because everyone should have a reputed company in our succe