Director of Tax, Treasury and Risk Management in United States at Jobgether
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Job Description
This position is posted by Jobgether on behalf of a partner company. We are currently looking for a Director of Tax, Treasury and Risk Management in the United States.
This senior finance leadership role sits at the intersection of tax, treasury, and enterprise risk, shaping the financial integrity and liquidity strategy of a fast-growing, multi-entity organization. The position oversees global tax compliance, cash and liquidity management, and insurance programs while ensuring alignment across accounting, FP&A, and operational teams. It plays a critical role in supporting both organic growth and M&A activity, with responsibility for integration and due diligence across acquisitions. Acting as a key advisor to senior leadership, the role ensures regulatory compliance across multiple jurisdictions while optimizing financial efficiency. The environment is highly dynamic, data-driven, and cross-functional, requiring strong collaboration across global stakeholders. This is a hands-on leadership position combining strategic oversight with operational execution. It is ideal for a finance expert who thrives in complex, fast-moving, and evolving business environments.
This role is responsible for leading enterprise tax, treasury, and risk management functions while ensuring compliance, liquidity, and financial optimization across the organization.
- Oversee U.S. and global tax compliance, including federal, state, and non-income tax filings, working closely with external advisors and accounting partners.
- Lead treasury operations, including cash flow forecasting, liquidity management, banking relationships, debt oversight, and working capital optimization.
- Manage foreign exchange (FX) exposure and hedging strategies in coordination with external partners and executive leadership.
- Drive implementation and optimization of tax systems (e.g., Vertex) and ensure accurate sales tax calculation, reporting, and reconciliation across jurisdictions.
- Support M&A activity including tax due diligence, integration planning, entity structuring, and post-acquisition compliance alignment.
- Oversee enterprise risk and insurance programs across global operations, ensuring adequate coverage and risk mitigation strategies.
- Partner with Finance, Accounting, and FP&A to improve financial processes, forecasting accuracy, and compliance reporting.
This role requires a seasoned finance leader with deep expertise in tax, treasury, and global financial operations within complex or multi-entity environments.
- 8–10+ years of experience in corporate tax, treasury, and/or financial risk management, ideally in multinational or private equity-backed organizations.
- Strong knowledge of U.S. tax compliance, international tax considerations, and regulatory frameworks.
- Hands-on experience with treasury operations including liquidity management, banking relationships, debt, and FX strategies.
- Experience with M&A tax due diligence, integration, and entity structuring.
- Proficiency with ERP and tax systems (e.g., Vertex, Workday) and advanced Excel/financial modeling skills.
- Strong analytical, problem-solving, and decision-making abilities in fast-paced environments.
- Excellent communication skills with the ability to collaborate and influence cross-functional and executive stakeholders.
- Bachelor’s degree in Accounting, Finance, or related field required.
- Competitive salary aligned with experience and market benchmarks
- Health, dental, and vision insurance coverage
- 401(k) retirement plan with employer match
- Paid time off, holidays, and additional flexible leave options
- Short-term and long-term disability coverage
- Remote-first work flexibility within the United States
- Internet stipend for remote employees
- Professional development and growth opportunities
- Wellness programs and employee support initiatives.