Senior Manager Of Capital Markets & Treasury

Jobgether

United States
On-site
Treasury and capital markets operations
Liquidity and cash management
Financial risk mitigation
This role is a high-impact opportunity to lead treasury and capital markets operations for a fast-growing, cash-positive business

Job Summary

  • This role is a high-impact opportunity to lead treasury and capital markets operations for a fast-growing, cash-positive business.
  • You will oversee liquidity, cash management, and financial risk for a multi-billion-dollar portfolio, ensuring operational efficiency and strategic alignment across finance, FP&A, and operations teams.
  • This role offers a fast-paced, collaborative environment with direct visibility to executive leadership and opportunities to influence the company’s financial growth.

Matching Summary

This role is a high-impact opportunity to lead treasury and capital markets operations for a fast-growing, cash-positive business.

Skills & Requirements

Must-have

  • Treasury and capital markets operations
  • Liquidity and cash management
  • Financial risk mitigation
  • Foreign exchange risk management
  • Working capital optimization
  • Banking relationships management

Nice-to-have

  • Fast-paced collaborative environment
  • Direct visibility to executive leadership
  • Influence financial growth

Key Requirements

  • Senior Manager level experience
  • Experience managing credit facilities
  • Experience implementing financial controls

Work Rights

Not specified

Tailored Resume

Cover Letter