The Senior Manager, Corporate Treasury will have ownership of the company’s global cash flow forecasting process, interest income and expense forecasting, treasury systems optimization, and high‑quality financial reporting. This role will partner closely with the Vice President, Assistant Treasurer, the Executive Vice President, Treasurer, and global Finance stakeholders to deliver accurate, timely, and actionable cash flow and interest expense forecasts that support strategic decision-making and capital allocation. In addition, the Senior Manager will oversee treasury systems (primarily Kyriba), including implementation, maintenance, enhancements, and long‑term roadmap planning. The Senior Manager supervises two direct reports and partners closely with Corporate Finance, Accounting, Tax, commercial finance, credit, and regional Treasury teams to standardize processes, enhance visibility into global liquidity, and drive continuous improvement initiatives across forecasting, reporting, and Treasury systems. This role is critical to strengthening operational discipline, enabling scalable Treasury infrastructure, and supporting the broader global Treasury strategy. Success in this role requires strong analytical skills, cross‑functional collaboration, outstanding communications skills, and an ability to influence financial discipline across the organization.
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Job Type
Full-time
Career Level
Manager
Number of Employees
5,001-10,000 employees