What are the responsibilities and job description for the Treasury Manager position at CFS?
Why This Opportunity Stands Out
- Play a leadership role in building a modern, technology-enabled global treasury organization
- Partner closely with the VP of Treasury on policy, governance, and capital strategy
- Lead enterprise-wide Treasury Management System (TMS) implementation and automation
- Gain exposure to global liquidity, debt, and banking strategy in a rapidly scaling multinational
- Work in a project‑driven, engineering‑led environment supporting mission‑critical industries
- Apply advanced tools (automation, data, AI/ML) to improve cash visibility and predictability
- Join a purpose-driven company focused on sustainability, innovation, and global impact
- Be part of a growing organization with strong executive visibility and long-term career runway
- Lead treasury ownership of TMS selection, implementation, optimization, and ERP integration
- Establish scalable global treasury processes, reporting standards, and data governance
- Define and maintain treasury policies across liquidity, FX, credit risk, and banking relationships
- Strengthen treasury controls and governance frameworks to support global growth
- Oversee global liquidity management, cash forecasting, and cash pooling structures
- Support debt structuring, capital raising initiatives, and bank facility management
- 10 years of progressive corporate treasury experience in multinational environments
- Proven experience leading Treasury Management System implementations and automation initiatives
- Background in project‑based, asset‑heavy, or engineering‑driven industries (industrial tech, EPC, energy, infrastructure, manufacturing, or similar)
- Experience supporting global growth, complex working capital cycles, and multi‑currency operations
- Hands‑on experience with bank facilities, credit lines, and covenant compliance
- Master’s degree in Finance, Accounting, Economics, or related field (CFA preferred)
Salary : $140,000 - $160,000