What are the responsibilities and job description for the Treasury Manager position at Silgan Containers?
Looking to make a real impact in corporate finance? Join Silgan Containers as our next Treasury Manager in Woodland Hills, CA.
As Silgan Containers’ Treasury Manager, you’ll manage corporate treasury operations, cash forecasting, risk management, and financial reporting across a complex, multi entity organization.
This high impact role offers the opportunity to influence our enterprise cash management strategy, optimize treasury systems, and develop a growing finance team.
What We Offer:
- $110,000 to $135,000 per year. Salary will depend on several factors, such as years of experience, education, unique skills, performance, and labor market conditions.
- Comprehensive benefit coverage for medical, dental, vision, and prescription drugs, life insurance, and short and long-term disability coverage, plus online medical appointments with our telemedicine program.
- Options to select additional programs, like pet insurance, or participate in health programs for weight loss, diabetes, hypertension management, and more.
- 401k retirement savings plan with a 6 percent employer match, dollar for dollar.
- 15 paid vacation days and 10 paid holidays.
- Tuition assistance and ongoing professional development.
- High visibility with exposure to the executive team
- Stability in a growing, environmentally conscious, publicly traded company.
- Be part of the Silgan legacy that makes us the market front-runner in consumer packaging.
What You’ll Do:
- Direct and manage daily treasury operations, including banking, cash positioning, intercompany transfers, and debt management.
- Oversee short and long term cash forecasting, liquidity planning, and capital structure evaluation.
- Serve as primary administrator for treasury management systems, banking platforms, and electronic funds transfer protocols.
- Develop a Treasury Specialist by providing feedback and guiding growth into a corporate finance leadership position.
- Manage financial operations, annual insurance renewals, budget forecasts, and external audit coordination.
- Prepare financial reports, KPI dashboards, and cash flow forecasts for executive-level review.
- Liaise with internal stakeholders, external banks, and auditors to enhance treasury efficiency and compliance.
What You Bring:
- Bachelor’s degree in Accounting, Finance, or related field. MBA, CPA, or CTP certification is a plus.
- Minimum of 5 years of experience in corporate treasury, cash management, or financial operations.
- Prior experience overseeing teams or managing functions in treasury or finance required.
- Working knowledge of JD Edwards, BlackLine, and cash forecasting software highly preferred.
- Proficiency in Excel, including pivot tables, data modeling, and scenario evaluation.
- Strong communication, problem-solving, and cross-functional management capabilities.
Join a company that values strategic finance, collaboration, and professional growth. Let’s shape the future of treasury together.
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Salary : $110,000 - $135,000