Represent treasury in cross-functional initiatives to manage liquidity and support company growth
Prepare cash planning and forecasting models and oversee the company's line of credit facility
Manage ongoing bank relationships and foreign exchange exposure while ensuring compliance with internal controls
Required Qualifications
Post-secondary degree in finance, business, math, or accounting
5+ years of experience in a Treasury role, preferably in a high-growth environment
Proficiency in cash planning, foreign exchange, and investment management
Expert proficiency in Excel/Google Sheets and basic to intermediate SQL knowledge
Familiarity with financial systems such as Netsuite, G Treasury, or Kyriba preferred
Average salary estimate
$110000
/ YEARLY (est.)
min
max
$90000K
$130000K
If an employer mentions a salary or salary range on their job, we display it as an "Employer Estimate". If a job has no salary data, Rise displays an estimate if available.