Treasury Manager - Greater Boston Metro Area - Hybrid
Position Overview
A rapidly growing, multi-entity global organization is seeking a highly analytical and strategic Treasury Manager to lead treasury operations, financial planning oversight, and executive reporting across a complex international structure. This individual will play a critical role in liquidity management, capital structure strategy, financial reporting, and executive-level decision support.
The ideal candidate brings strong technical treasury expertise, board-level communication skills, and the ability to operate both strategically and hands-on in a fast-paced environment.
Key Responsibilities
Financial Planning & Analysis
- Lead the annual budgeting process with a focus on headcount planning and vendor cost management across business verticals.
- Conduct monthly financial reviews and prepare comprehensive MD&A packages for the Chairman, business unit leaders, and investors.
- Perform detailed revenue and cost analysis, trend and variance analysis, capex multiple analysis, and budget compliance monitoring.
- Prepare quarterly Board presentations highlighting business performance, key KPIs, and variance analysis.
- Perform ad hoc financial modeling, forecasting, scenario analysis, and strategic projections to support executive decision-making.
Treasury & Liquidity Management
- Manage treasury operations for 35 legal entities across 8 countries.
- Oversee cash flow forecasting, liquidity planning, and working capital optimization across the global organization.
- Deliver monthly treasury performance reports tracking asset yields, debt multiples, interest expense, and liquidity KPIs.
- Partner with the President on capital structure optimization, debt financing, and equity raises.
- Develop and maintain financial models to support financing decisions and monitor covenant compliance.
- Lead treasury initiatives, including the implementation and ongoing enhancement of a company-wide cash flow forecasting system to improve liquidity visibility and decision-making.
Leadership & Team Development
- Mentor and manage a team of three analysts, driving improvements in forecasting accuracy, reporting quality, and operational efficiency.
- Establish best practices in financial reporting, treasury operations, and performance analysis.
- Foster a high-performance culture grounded in accountability, precision, and continuous improvement.
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, or related field (MBA or CTP preferred).
- 6–10+ years of experience in treasury, corporate finance, investment banking, or FP&A.
- Strong expertise in cash flow forecasting, liquidity management, and capital markets.
- Experience supporting board-level reporting and executive leadership.
- Advanced financial modeling skills.
- Demonstrated ability to manage multiple entities across international jurisdictions.
- Proven leadership experience managing and developing analysts.
What Success Looks Like
- Accurate, forward-looking liquidity forecasting across global operations.
- Clear, strategic financial insights delivered to executives and Board members.
- Optimized capital structure and well-managed debt compliance.
- Strong forecasting discipline and reporting efficiency within the treasury team.
- Enhanced visibility into cash flow and liquidity drivers that support strategic growth initiatives.