Senior Manager, Treasury jobs in United States
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Avid · 6 hours ago

Senior Manager, Treasury

Avid is a company that creates technology and collaborative tools for creators across various industries. They are seeking a highly motivated and experienced Senior Manager, Treasury to lead their global treasury operations, focusing on cash management, banking relationships, and compliance. This strategic leadership role requires strong financial acumen and collaboration with various departments to support the company's financial health.

Information TechnologyMedia and EntertainmentMusicSoftware
Hiring Manager
Cielo Marina Escarpe, RPm
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Responsibilities

Develop and lead daily, weekly, and long-term global cash flow forecasting focusing on working capital optimization
Lead global liquidity planning and partner cross-functionally to optimize working capital utilization
Manage daily U.S. and international cash positioning, concentration, and fund transfers
Monitor global cash balances and develop strategies for effective deployment and utilization
Manage banking infrastructure, including administration of accounts, signatories, and bank platforms
Review and improve treasury systems, tools, and automation processes
Ensure timely and accurate reconciliation of all bank accounts in coordination with accounting
Evaluate and implement process enhancements to drive efficiency and strengthen internal controls
Maintain compliance reporting for company debt, including covenant tracking and lender deliverables
Coordinate and validate all debt-related transactions, including interest, principal, and lender fee payments
Ensure full compliance with SOX and internal control frameworks
Assess and manage financial risk exposure, including foreign currency and counterparty risk
Set clear goals and performance metrics aligned with company and team objectives
Collaborate cross-functionally with FP&A, Accounting, Legal, and Tax on treasury-related activities
Support Finance leadership with insights related to liquidity risk and cash availability for strategic decisions

Qualification

Global cash managementBanking operationsDebt complianceFinancial modelingTreasury systemsAnalytical skillsLeadership skillsCommunication skillsProblem-solving ability

Required

Bachelor's degree in Finance, Accounting, or a related field
8+ years of progressive treasury or corporate finance experience
Experience in a PE-backed, fast-growth SaaS or tech company
Demonstrated expertise in global cash management, banking, FX, and debt compliance
High proficiency in Excel and financial modeling; experience with treasury systems (e.g., Kyriba, SAP, or similar)
Strong leadership, communication, and stakeholder management skills
Detail-oriented, with strong analytical and problem-solving ability
Proven ability to thrive in a fast-paced, hands-on environment

Preferred

CTP, MBA, or CPA

Benefits

Health & life insurance
Referral rewards
Generous leave policies

Company

We help media visionaries create art that colors our perceptions and enriches our culture.

Funding

Current Stage
Public Company
Total Funding
unknown
2023-08-11Acquired
1993-03-19IPO

Leadership Team

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Wellford Dillard
Chief Executive Officer
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Dominic Constandi
Chief Customer Officer
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Company data provided by crunchbase