It’s not just about your career or job title… It’s about who you are and the impact you will make on the world. Because whether it’s for each other or our customers, we put People First. When our people come together, we Expand the Possible and continuously look for ways to improve what we create and how we do it. If you are constantly striving to grow, you’re in good company. We are revolutionizing the way the world moves for future generations, and we want someone who is ready to move with us.
Job Profile Summary
Responsible for efficiently optimizing liquidity levels and treasury operations in an international multi-entity environment. Manage ongoing evaluation and implementation of global liquidity solutions, tools and systems, including the development and deployment of third-party treasury systems. Integrate into the treasury and business organization to participate in broader special projects and cross-functional initiatives that improve overall operational efficiency.
Key Responsibilities
- Build and maintain relationships with business functions including FP&A, Accounting, Tax, Legal, IT, and business unit finance.
- Implement and expand treasury technology solutions to provide global visibility of cash / debt and control global cash.
- Coordinate with the global A/P, A/R, and accounting functions to increase efficiency and controls through the use of treasury technology.
- Expand the utilization and efficiency of the treasury management system.
- Relentless drive to improve processes.
- Lead a global team of both insourced and outsourced team members across multiple time zones.
- Monitor new banking products and provide recommendations for the implementation of new solutions.
- Ensure the efficient delivery of key global business services such as employee credit cards and bank guarantees.
- Support M&A integration activity related to treasury functions.
- Ensure compliance with Treasury policies and procedures. Monitor and update such policies as needed.
Education and Experience:
- Typically possesses 10+ years of experience including experience leading a large team of managers and senior individual contributors over multiple sites / locations. CTP, CFA, or other Treasury-related certification preferred.
Knowledge and Skills:
- In-depth knowledge and experience with treasury and cash management.
- Recognized depth and breadth of expertise within the treasury cash management discipline as well as broad knowledge of other disciplines within the Finance function.
- Critical thinker with ability to identify and solve problems in a fast-paced deadline driven environment.
- Demonstrated project management skills.
- Demonstrated ability to champion change.
- Responsive, attentive, and proactive with the ability to foster a positive team environment.
Our job titles may span more than one career level. The salary range for this role is between $161,300.00-$229,800.00 The actual salary offered to a candidate may be influenced by a variety of factors, such as: training, transferable skills, work experience, education, business needs, market demands and work location. The base pay range is subject to change and may be modified in the future. More information on offered benefits, which include health, welfare, and retirement, are available at mywabtecbenefits.com. Other benefit offerings for this role may include an annual bonus and equity offerings, if eligible.