Treasury Manager
Apply NowCompany: Nogin
Location: New York, NY 10025
Description:
Job Purpose
The Treasury Manager is responsible for managing the financial and monetary aspects of a business, which includes cash flow, liquidity, funding, and relationships with financial institutions.
Role and Responsibilities
Qualifications and Education Requirements
Preferred Skills
Work Environment
Flexible work arrangement with some in-office visits.
Physical Demands
Prolonged periods of sitting at a desk and working on a computer.
The Treasury Manager is responsible for managing the financial and monetary aspects of a business, which includes cash flow, liquidity, funding, and relationships with financial institutions.
Role and Responsibilities
- Monitor daily cash positions and forecast short-term cash needs.
- Implement strategies to maximize cash efficiency and minimize idle balances.
- Coordinate banking relationships and manage bank accounts.
- Develop and execute investment strategies for surplus funds.
- Evaluate and select suitable investment instruments.
- Monitor investment performance and compliance with company policies.
- Assess the organization's capital structure and financing needs.
- Negotiate and manage debt agreements, including loans and credit facilities.
- Optimize debt terms to minimize interest costs.
- Identify and assess financial risks, including foreign exchange and interest rate risk.
- Implement risk mitigation strategies, such as hedging and insurance.
- Stay informed about market trends and regulatory changes affecting the treasury function.
- Prepare and present regular reports on cash flow, liquidity, and treasury activities.
- Ensure compliance with accounting standards and regulatory requirements.
- Develop accurate cash flow forecasts to support financial planning and decision-making.
- Continuously refine forecasting models based on actual results.
- Establish and maintain robust internal controls related to treasury operations.
- Ensure compliance with applicable laws, regulations, and accounting standards.
- Foster a collaborative and results-oriented team environment.
Qualifications and Education Requirements
- Bachelor's degree in Finance, Accounting, or a related field; MBA or CTP (Certified Treasury Professional) preferred.
- Proven experience in treasury management, with at least 5 years in a senior treasury role.
- Strong financial analysis skills and the ability to interpret complex financial data.
- Knowledge of financial instruments, cash management techniques, and investment strategies.
- Proficiency in treasury management systems and financial software.
Preferred Skills
- Excellent communication and interpersonal skills for effective collaboration with internal and external stakeholders.
- Strong analytical and problem-solving abilities.
- Detail-oriented with a high degree of accuracy in financial reporting.
- Familiarity with regulatory compliance and financial risk management.
- Strategic thinking and the ability to develop and execute treasury strategies in line with organizational goals.
- Integrity and discretion in handling sensitive financial information.
Work Environment
Flexible work arrangement with some in-office visits.
Physical Demands
Prolonged periods of sitting at a desk and working on a computer.