VP of Treasury, Tax and M&A
Role Summary
The Vice President of Treasury, Tax, and M&A will lead the organization’s liquidity strategy, capital structure management, tax planning, and financial execution of acquisition initiatives. This position plays a pivotal role in optimizing cash flow, strengthening financial controls, overseeing compliance, and supporting the company’s long-term growth strategy.
Key Responsibilities
Oversee global cash management, cash flow forecasting, liquidity planning, and working capital optimization
Lead treasury operations including debt management, covenant compliance, short-term investments, and bank relationship management
Drive improvements in treasury processes and support digital transformation initiatives
Lead global tax strategy, compliance, reporting, and planning in partnership with external tax advisors
Ensure compliance with federal, state, and international tax requirements and optimize after-tax income
Lead financial modeling, valuation, and due diligence for acquisitions and divestitures
Oversee finance-related integration activities including systems alignment and synergy tracking
Collaborate with senior leadership to ensure M&A strategy aligns with corporate growth objectives
Partner with executive teams to support long-range planning and enterprise decision-making
Develop goals, metrics, and staff development plans for the treasury and tax functions
Ensure compliance with internal controls, accounting standards, tax regulations, and audit requirements
Serve as a key liaison to investment banks, lenders, rating agencies, attorneys, and auditors
Key Requirements
Bachelor’s degree in Finance, Accounting, or related field
Ten or more years of progressive experience across treasury, tax, and finance functions
Demonstrated experience leading treasury operations including liquidity, debt, capital markets, or complex banking structures
Experience performing or supporting M&A activities including valuation, financial modeling, and integration
Strong financial acumen with the ability to interpret and present financial statements
Advanced proficiency in Microsoft Office; strong financial modeling capabilities
Experience with NetSuite preferred
Excellent communication and influencing skills, with the ability to explain complex topics clearly
Ability to lead cross-functional efforts and manage complex initiatives under pressure
Comfortable working fully onsite in downtown Atlanta
Preferred Skills
Experience with PeopleSoft, Salesforce, NetSuite, or Oracle
CPA or MBA
Experience with Avalara or similar tax automation tools