Sabre is a technology company that powers the global travel industry. By leveraging next-generation technology, we create global technology solutions that take on the biggest opportunities and solve the most complex challenges in travel.
Positioned at the center of the travel, we shape the future by offering innovative advancements that pave the way for a more connected and seamless ecosystem as we power mobile apps, online travel sites, airline and hotel reservation networks, travel agent terminals, and scores of other solutions.
Simply put, we connect people with moments that matter.
Treasurer
Hospitality Solutions serves hoteliers around the globe with the industry’s most innovative and comprehensive suite of technology services and products. Our solutions empower hotels and hotel chains to deliver true hospitality reliably and at scale, improving guest experience throughout the traveler journey.
Our team is comprised of the hospitality industry’s most innovative and entrepreneurial leaders, and together we form the fastest growing business unit of a $4B+ global technology company. Candidates who join our team must thrive in fast-paced, entrepreneurial environments and be committed to serving the needs of our hospitality customers around the globe. If this sounds like you, we would welcome the opportunity to get to know you better.
Position Summary
We are seeking an experienced Treasurer to lead our global treasury function. Reporting directly to the CFO, the Treasurer will be responsible for developing and executing the company’s cash management, liquidity, and financial risk management strategies. This individual will be a key member of the finance leadership team and will lead the stand-up and ongoing evolution of our treasury function, including establishing policies, processes, systems, and a high-performing treasury team.
Key Responsibilities
- Cash and Liquidity Management
- Oversee global cash positioning, cash concentration, and liquidity management across multiple entities and jurisdictions.
- Optimize working capital and ensure sufficient liquidity to support global operations and strategic initiatives.
- Manage intercompany funding and cash repatriation strategies.
- Cash Forecasting
- Develop and maintain robust short-term and long-term cash flow forecasting models.
- Partner closely with FP&A, Accounting, Tax, and Commercial teams to refine forecast accuracy and align forecasts with operating plans.
- Banking and Financial Institution Relationships
- Manage relationships with domestic and international banking partners.
- Lead the negotiation of banking terms, fees, and credit facilities.
- Oversee the management of bank accounts, signatories, and treasury controls globally.
- Treasury Operations and Infrastructure
- Lead the implementation and optimization of Treasury Management Systems (TMS) and related automation tools.
- Develop and implement treasury policies, procedures, controls, and governance frameworks.
- Stand up scalable treasury operations to support the company’s continued growth and global footprint.
- Financial Risk Management
- Identify and manage risks related to foreign exchange, interest rates, and counterparty credit.
- Develop and execute hedging strategies where appropriate to mitigate financial risks.
- Capital Structure and Debt Management
- Support CFO in evaluating capital structure, debt facilities, and funding strategies.
- Manage compliance with debt covenants and reporting requirements.
- Team Leadership
- Build and lead a high-performing treasury team.
- Provide mentorship, coaching, and career development for treasury staff.
Qualifications
- Bachelor's degree in Finance, Accounting, Economics, or related field. MBA or CFA preferred.
- 10+ years of progressive treasury experience, including as a Treasurer or Assistant Treasurer in a global company.
- Experience leading the stand-up or significant transformation of a treasury function, including implementing TMS and building global processes and teams.
- Strong knowledge of cash management, banking practices, FX, liquidity management, and financial risk management across multiple countries.
- Experience working with complex global banking structures and regulatory environments.
- Excellent negotiation skills with banks and financial institutions.
- Strong leadership, communication, and collaboration skills with the ability to influence at all levels of the organization.
Preferred Attributes
- Prior experience in the software, technology, or SaaS industries is highly desirable.
- Demonstrated ability to operate in a fast-paced, high-growth, international environment.
- Strong systems orientation and experience with Treasury Management Systems (e.g., Kyriba, GTreasury, Quantum) and ERP systems (e.g., NetSuite, Oracle, SAP).
Outstanding Benefits
- Very competitive compensation
- Generous Paid Time Off (25 PTO days)
- 4 days (one day/quarter) Volunteer Time Off (VTO)
- 5 days off annually for Year-End Break
- We offer a comprehensive medical, dental and Wellness Program
- 12 weeks paid parental leave
- An infrastructure that allows flexible working arrangements
- Formal and informal reward, recognition and acknowledgement programs
- Lots of fun and engaging employee development events
Reasonable Accommodation
Sabre is committed to working with and providing reasonable accommodation to applicants with disabilities. Applicants applying for a Sabre position with a disability who require a reasonable accommodation for any part of the application or hiring process may contact Sabre at recruiting@careers.sabre.com.
Determinations on requests for reasonable accommodation will be made on a case-by-case basis.
Affirmative Action
Sabre is an equal employment opportunity/affirmative action employer and is committed to providing employment opportunities to minorities, females, veterans and disabled individuals. EEO IS THE LAW
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