Title: Treasury Manager
Melbourne, FL, US, 32919
Job Title: Treasury Manager
Job Code: Recruiter will populate
Job Location: Melbourne, FL
Job Schedule: 9/80 REG
Job Description:
The Treasury Manager will be responsible for overseeing the company’s daily treasury operations, optimizing cash management processes, supporting capital markets activities, and ensuring compliance with both internal controls and regulatory requirements. This role plays a crucial part in liquidity planning, debt management, and implementing risk mitigation strategies.
Essential Functions:
- Lead daily cash positioning and forecasting activities across global operations
- Manage liquidity planning, short-term borrowing, and intercompany funding strategies
- Support the execution of capital markets transactions (e.g. debt issuance, share repurchases, dividends)
- Monitor covenant compliance and reporting related to corporate debt
- Ensure compliance with SOX and internal controls, maintaining documentation and audit readiness
Qualifications:
- Bachelor’s Degree Accounting, Economics, or related field and minimum 9 years prior related experience. Graduate Degree with a minimum of 7 years of prior related experience. In lieu of a degree, minimum of 13 years of prior related experience.
- 5-8 years of progressive Treasury experience, ideally in a corporate environment; public company experience strongly preferred
Preferred Additional Skills:
- Strong analytical, problem-solving and Excel modeling skills
- Proven ability to communicate effectively with internal and external stakeholders
- Highly organized, detail-oriented, and able to manage multiple priorities under tight deadlines
- Solid understanding of capital markets, cash management, FX and debt instruments
- Experience with treasury management software (e.g. Reval)
Nearest Major Market: Melbourne