Jobs · Management · California

Senior Manager, Treasury Operations

Nutanix · San Jose, CA · Yesterday
Management$139k/yrFull-time

About the role

We are looking for a high performing Senior Manager, Treasury Operations to take a pivotal role in building out our global Treasury Operations function. You will drive a disciplined approach to global cash management and liquidity planning, continuing to mature our processes into a highly automated, strategic asset for the enterprise.

Responsibilities

  • Oversee daily global liquidity, intercompany funding mechanics, and net cash positions across all international subsidiaries.

  • Build, refine, and maintain short and long term cash flow forecasting models to maximize Free Cash Flow (FCF) visibility.

  • Manage core banking workflows, including payment execution, wire processing, and cross border settlements.

  • Maintain a robust control framework with strict segregation of duties, ensuring full compliance with internal policies and SOX requirements.

  • Develop strategies and automated solutions to streamline global payments.

  • Serve as the Treasury partner for regional finance leaders, Tax, Accounting, Legal, and FP&A to streamline global payment workflows and support business growth.

  • Lead treasury setup for newly formed entities and post-acquisition integration for acquired companies.

  • Maintain and optimize global bank account lifecycles, user access permissions, corporate resolutions, and KYC documentation.

  • Manage day to day interactions and operational performance with commercial banking partners, serving as the primary liaison for internal and external audit banking requirements.

  • Own the ongoing optimization, administration, and scaling of the Treasury Management System (TMS).

  • Drive end to end modernization initiatives, ensuring seamless automated integrations between banking platforms and internal ERP/accounting systems.

  • Drive high-impact treasury projects including bank rationalization, global bank fee auditing and optimization, and the deployment of AI integrations and models to maximize operational efficiency and capital utilization.

  • Formulate, execute, and own the strategy, renewals, and claims management for primary operational lines (including Workers' Compensation, Business Travel, Commercial Property, General Liability, Auto Liability, and Umbrella/Excess policies); provide support and work with cross functional teams for the renewal of Directors and Officers (D&O) and Errors and Omissions (E&O) / Cyber Liability policies.

  • Support customer financing structures by vetting external funders, monitoring liquidity pricing/rates, managing ongoing funder relationships, and performing financial analysis on potential new programs.

  • Build, lead, and develop a high performing treasury operations team.

Requirements

8+ years of progressive corporate treasury experience with a heavy emphasis on scaling global treasury operations; large multi-national treasury, Big 4 accounting, or high-growth tech experience is strongly preferred.

Global experience managing end to end treasury operations across multiple countries, currencies, and legal entities.

Expertise in Treasury Management Systems (Kyriba or similar), with a proven track record of driving TMS implementations and banking automation.

Highly articulate with exceptional verbal and written communication skills, including a proven ability to translate complex treasury mechanics into clear, actionable executive reporting.

Pioneering ability to build, lead, and develop high performing treasury operations teams.

Solid understanding of GAAP and non-GAAP accounting principles, SOX controls, and key operational working capital metrics.

Strong sense of ownership with a balance of strategic focus and willingness to dive into system and data details, combining creative problem solving with meticulous attention to accuracy and precision in a fast paced environment.

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