Job Summary
A cloud communications company is filling a position for a Remote Treasury Manager.
Candidates will be responsible for the following:
- Create the procedures and processes for repeatable cash management cycles, FX risk management, investments and capital structure
- Identify and implement improvements in our process for accurate and automated cash management
- Drive working capital and capex optimization; build best-in-class cash and treasury operations
Must meet the following requirements for consideration:
- 4+ years of Finance experience
- Bachelor’s degree or equivalent experience required
- Strong analytical skills
- Ability to partner with and influence cross-functional teams
- Ability to communicate clearly and succinctly in writing