Corporate Treasury Manager

AvidXchange

Charlotte, United States
Not specified; not specified; competitive healthca...
On-site
Cash management strategies
Liquidity management expertise
Financial risk management
The role involves leading treasury operations to optimize liquidity and manage financial risks for a growing fintech company

Job Summary

  • The role involves leading treasury operations to optimize liquidity and manage financial risks for a growing fintech company.
  • Candidates will provide strategic guidance to the CFO and executive leadership on capital structure and investment strategies.
  • AvidXchange offers competitive benefits including 18 days PTO, 100% paid dental and life insurance, and 8 weeks of paid parental leave.

Matching Summary

The role involves leading treasury operations to optimize liquidity and manage financial risks for a growing fintech company.

Salary

Not specified; Not specified; Competitive Healthcare, 401(k) match, Paid Volunteer Time Off

Skills & Requirements

Must-have

  • cash management strategies
  • liquidity management expertise
  • financial risk management
  • bank relationship management
  • treasury policy development

Nice-to-have

  • entrepreneurial mindset
  • process automation experience
  • cross-functional collaboration
  • technology adoption skills
  • customer obsessed culture

Key Requirements

  • 5+ years progressive treasury experience
  • Bachelor's degree in Finance or Accounting
  • MBA preferred
  • Experience with regulatory compliance

Work Rights

Not specified

Tailored Resume

Cover Letter