Lead impactful treasury operations and strategic initiatives in a dynamic environment. Enhance liquidity management and financial policies while mentoring talented professionals. Collaborate across departments to drive organizational success.
Assistant Treasurer
in Professional Services PermanentJob Detail
Job Description
Overview
- The Assistant Treasurer will oversee treasury functions, ensuring optimal liquidity and compliance with financial policies.
- Collaborate with cross-functional teams to drive cash forecasting and intercompany funding activities.
- Manage banking operations, investment portfolios, and corporate card programs effectively.
- Develop and maintain treasury policies and control frameworks to mitigate risks.
- Provide strategic support to the Treasurer in creating a best-in-class treasury organization.
- Mentor and manage direct report staff, fostering professional growth and development.
- Ensure timely and accurate treasury reporting to support decision-making processes.
- Utilize advanced Excel and SAP Cloud for efficient financial analysis and operations.
Key Responsibilities & Duties
- Optimize liquidity and working capital through effective cash management strategies.
- Drive end-to-end cash forecasting by partnering with Accounting, FP&A, and Tax teams.
- Manage daily banking operations, including account management and service oversight.
- Collaborate with investment portfolio managers to align activities with policy objectives.
- Oversee intercompany funding activities, ensuring compliance with legal entity requirements.
- Develop strategic initiatives to enhance treasury operations and organizational efficiency.
- Provide mentorship and leadership to direct report staff, fostering a collaborative environment.
- Ensure accurate and timely reporting of treasury activities to stakeholders.
Job Requirements
- Bachelor’s degree in finance, business, or related field; MBA preferred.
- 7+ years of progressive responsibility within a large treasury function.
- Experience managing, negotiating, and administering financial and treasury services.
- Proven expertise in cash and liquidity management, working capital strategies.
- 5+ years of demonstrated leadership and managerial skills.
- Proficiency in Microsoft Office Suite, including advanced Excel skills.
- Knowledge of SAP Cloud preferred for financial operations.
- Strong analytical, problem-solving, and organizational abilities.
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