Manager - Treasury
Apply NowCompany: Uber Freight
Location: Salineno, TX 78585
Description:
Schedule: FT
Job Type: Hybrid
Salary Type: Salary
About the Role
This position reports directly to Director, Treasury and works closely with the business to minimize financial risk, plan cash/funding needs, and banking relationships. This role acts as the critical finance business partner with a high level of visibility to Senior/Executive Management Team members of Uber Freight. There is also an emphasis on cross-functional interaction with Operations, Finance Operations, Sales, IT, HR, Corporate Finance, Accounting and engaging directly with customers to support business priorities.
What the Candidate Will Do
Support, monitor, plan and oversee various aspects of treasury activities, including the successful development and implementation of domestic and international cash and liquidity management strategies
Lead a team of cash management professionals and interact with credit and collection professionals, working closely with AR, Billing and AP leadership to drive process transformation and KPI improvement
Manage the customs operations cash requirements and Pedimento payments
Develop, implement and manage cash forecasting processes; future investment portfolio management, and development of borrowing, interest rate risk and investment strategies
Implement and manage short-term cash forecasting and long-term cash management strategies in line with strategic plan. Drive development of enhanced forecasting processes and insights
Research and maintain regulatory requirements and restrictions for cash and investments
Manage liquidity and administer daily investment activities including but not limited to managing and completing all trade transactions on a timely basis while ensuring all trade activities meet corporate investment policy objectives and regulatory guidelines
Review and recommend improvements in cash and investing management activities while ensuring financial obligations are met in accordance with Company policies and procedures
Evaluate, recommend, and implement new banking and investment products and services including online and automation solutions, bank fee analysis, and negotiation with banks and investment advisors
Manage complex and cross-functional treasury projects and contribute to solutions that impact multiple lines of businesses
Manage the strategic planning of any credit facility agreements and usage and oversee the ongoing compliance requirements and activities
Manage and maintain relationships across the banking community including corporate bankers, bank operational counterparts, treasury infrastructure, and technology providers
Perform timely and accurate ad hoc, daily, weekly, monthly, quarterly and annual investment reporting; prepare monthly working capital analysis; support and prepare all necessary information for financial statement audits, examinations, and regulatory reporting
Develop and maintain relevant financial and business controls for SOX and internal controls monitoring
Support M&A and related integration of treasury activities for acquired businesses
Advise on corporate finance topics such as capital injection in subsidiaries, cost of capital, and intercompany loan agreements, including dividend policies
Travel - 20%
Basic Qualifications
Bachelor's degree in Finance or Accounting
Minimum 3-5 years of related experience
English/Spanish language skills
Valid passport
Preferred Qualifications
MBA in Finance or Accounting; CPA or CTP preferred
8 years of finance experience in treasury and finance roles, preferably with logistics or transportation management exposure, including cash management, institutional investment portfolio management, syndicated bank and lease credit facilities, and interest rate risk management, with international banking and managing foreign exchange exposure
Strong experience in managing the treasury function as well as experience of treasury accounting including FX, liquidity, cashflow, working capital collections and various financial instruments
Advanced level of Excel and PowerPoint
Knowledge of Oracle Cloud or comparable ERP System (General Ledger, Accounts Receivable, Accounts Payable, System Administration, Planning/Budgeting or Hyperion)
Experience with SWIFT, banking connectivity and related systems
About Uber Freight
Uber Freight is a market-leading enterprise technology company powering intelligent logistics. With a suite of end-to-end logistics applications, managed services and an expansive carrier network, Uber Freight advances supply chains and moves the world's goods. Today, the company manages over $20 billion of freight and one of the largest networks of carriers. It is backed by best-in-class investors and provides services for 1 in 3 Fortune 500 companies, including Del Monte Foods, Nestle, Anheuser-Busch InBev, and more. For more, visit www.uberfreight.com.
Candidate Privacy Notice
EEOC
Uber Freight is proud to be an Equal Opportunity/Affirmative Action employer. All qualified applicants will receive consideration for employment without regards to sex, gender identity, sexual orientation, race, color, religion, national origin, disability, protected Veteran status, age, or any other characteristic protected by law. We also consider qualified applicants regardless of criminal histories, consistent with legal requirements.
Job Type: Hybrid
Salary Type: Salary
About the Role
This position reports directly to Director, Treasury and works closely with the business to minimize financial risk, plan cash/funding needs, and banking relationships. This role acts as the critical finance business partner with a high level of visibility to Senior/Executive Management Team members of Uber Freight. There is also an emphasis on cross-functional interaction with Operations, Finance Operations, Sales, IT, HR, Corporate Finance, Accounting and engaging directly with customers to support business priorities.
What the Candidate Will Do
Support, monitor, plan and oversee various aspects of treasury activities, including the successful development and implementation of domestic and international cash and liquidity management strategies
Lead a team of cash management professionals and interact with credit and collection professionals, working closely with AR, Billing and AP leadership to drive process transformation and KPI improvement
Manage the customs operations cash requirements and Pedimento payments
Develop, implement and manage cash forecasting processes; future investment portfolio management, and development of borrowing, interest rate risk and investment strategies
Implement and manage short-term cash forecasting and long-term cash management strategies in line with strategic plan. Drive development of enhanced forecasting processes and insights
Research and maintain regulatory requirements and restrictions for cash and investments
Manage liquidity and administer daily investment activities including but not limited to managing and completing all trade transactions on a timely basis while ensuring all trade activities meet corporate investment policy objectives and regulatory guidelines
Review and recommend improvements in cash and investing management activities while ensuring financial obligations are met in accordance with Company policies and procedures
Evaluate, recommend, and implement new banking and investment products and services including online and automation solutions, bank fee analysis, and negotiation with banks and investment advisors
Manage complex and cross-functional treasury projects and contribute to solutions that impact multiple lines of businesses
Manage the strategic planning of any credit facility agreements and usage and oversee the ongoing compliance requirements and activities
Manage and maintain relationships across the banking community including corporate bankers, bank operational counterparts, treasury infrastructure, and technology providers
Perform timely and accurate ad hoc, daily, weekly, monthly, quarterly and annual investment reporting; prepare monthly working capital analysis; support and prepare all necessary information for financial statement audits, examinations, and regulatory reporting
Develop and maintain relevant financial and business controls for SOX and internal controls monitoring
Support M&A and related integration of treasury activities for acquired businesses
Advise on corporate finance topics such as capital injection in subsidiaries, cost of capital, and intercompany loan agreements, including dividend policies
Travel - 20%
Basic Qualifications
Bachelor's degree in Finance or Accounting
Minimum 3-5 years of related experience
English/Spanish language skills
Valid passport
Preferred Qualifications
MBA in Finance or Accounting; CPA or CTP preferred
8 years of finance experience in treasury and finance roles, preferably with logistics or transportation management exposure, including cash management, institutional investment portfolio management, syndicated bank and lease credit facilities, and interest rate risk management, with international banking and managing foreign exchange exposure
Strong experience in managing the treasury function as well as experience of treasury accounting including FX, liquidity, cashflow, working capital collections and various financial instruments
Advanced level of Excel and PowerPoint
Knowledge of Oracle Cloud or comparable ERP System (General Ledger, Accounts Receivable, Accounts Payable, System Administration, Planning/Budgeting or Hyperion)
Experience with SWIFT, banking connectivity and related systems
About Uber Freight
Uber Freight is a market-leading enterprise technology company powering intelligent logistics. With a suite of end-to-end logistics applications, managed services and an expansive carrier network, Uber Freight advances supply chains and moves the world's goods. Today, the company manages over $20 billion of freight and one of the largest networks of carriers. It is backed by best-in-class investors and provides services for 1 in 3 Fortune 500 companies, including Del Monte Foods, Nestle, Anheuser-Busch InBev, and more. For more, visit www.uberfreight.com.
Candidate Privacy Notice
EEOC
Uber Freight is proud to be an Equal Opportunity/Affirmative Action employer. All qualified applicants will receive consideration for employment without regards to sex, gender identity, sexual orientation, race, color, religion, national origin, disability, protected Veteran status, age, or any other characteristic protected by law. We also consider qualified applicants regardless of criminal histories, consistent with legal requirements.