Treasury Manager at Jobgether – United States
Explore Related Opportunities
About This Position
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Treasury Manager in the United States.
This role sits at the center of a fast-growing, tech-enabled financial operations environment, where treasury is a strategic driver of liquidity, growth, and global scalability. You will own day-to-day cash management while also shaping long-term capital efficiency, FX risk strategies, and banking relationships across a rapidly expanding business. Working cross-functionally with FP&A, Accounting, Legal, and Operations, you will ensure financial resilience while enabling strategic expansion. The environment is highly dynamic, data-driven, and collaborative, requiring both precision and the ability to operate in ambiguity. This is an opportunity to influence core financial infrastructure in a high-growth organization while building scalable treasury processes.
In this role, you will oversee end-to-end treasury operations, ensuring liquidity, financial control, and strategic capital optimization across the business:
- Manage daily cash positioning, liquidity planning, and short-term forecasting to ensure operational stability and efficient cash utilization.
- Optimize working capital by partnering with AP, AR, Credit, and FP&A teams to improve cash flow cycles and reduce trapped liquidity.
- Identify and manage foreign exchange exposure, developing and executing hedging strategies to mitigate financial risk.
- Oversee the company’s credit facilities, ensuring compliance, monitoring utilization, and supporting growth-related funding needs.
- Maximize yield on excess cash through safe, liquid investment strategies aligned with risk policies.
- Maintain and enhance banking relationships, negotiating fees and ensuring optimal service structures globally.
- Strengthen treasury governance, internal controls, audit readiness, and compliance with internal and external requirements.
- Improve treasury systems, reporting, and dashboards to increase visibility and support executive decision-making.
- Collaborate cross-functionally to align treasury strategy with broader financial and operational objectives.
The ideal candidate brings strong treasury expertise combined with analytical rigor and the ability to operate in fast-paced, high-growth environments:
- 5–8+ years of experience in treasury, corporate finance, capital markets, or corporate banking roles.
- Strong expertise in cash management, liquidity planning, FX risk management, and working capital optimization.
- Experience managing credit facilities, banking relationships, and treasury operations at scale.
- Advanced analytical skills with proficiency in Excel and financial modeling, including forecasting and scenario analysis.
- Familiarity with ERP systems (e.g., NetSuite) and treasury or financial management tools.
- Strong communication skills with the ability to translate complex financial insights into clear executive-level narratives.
- Highly organized, detail-oriented, and capable of managing multiple priorities in a fast-moving environment.
- Bachelor’s degree in Finance, Accounting, Economics, or a related field.
- Collaborative, hands-on mindset with strong cross-functional partnership skills and low-ego leadership style.
- Competitive base salary ranging from $112,000 to $155,000 USD, based on experience and location.
- Eligibility for equity and/or variable compensation in addition to base pay.
- Comprehensive benefits package including medical, dental, and vision coverage.
- Hybrid-hub or remote flexibility depending on role requirements and location.
- Performance-based bonus opportunities and long-term incentive programs.
- Additional perks designed to support work-life balance, professional growth, and financial wellbeing.