Treasury Manager

Fossil Group Inc

Richardson, TX

JOB DETAILS
SKILLS
Accounting, Analysis Skills, Banking Services, Best Practices, Budgeting, Cash Flow Projection, Cash Management, Cash Pooling, Communication Skills, Continuous Improvement, Corporate Banking, Corporate Finance, Cross-Functional, Documentation, Finance, Financial Analysis, Financial Operations, Financial Planning and Analysis (FP&A), Financial Risk Management, Forecasting, Foreign Exchange (FX), Foreign Exchange (FX) Trading, Funding, Liquidity, Loans, Maintain Compliance, Management Reporting, Multitasking, Organizational Skills, Reconciliation, Risk Management, Tax Accounting, Team Player, Treasury, Treasury Management, Variance Analysis
LOCATION
Richardson, TX
POSTED
30+ days ago

Who We Are

At Fossil Group, we are part of an international team that dares to dream, disrupt, and deliver innovative watches, jewelry, and leather goods to the world. We are committed to long-term value creation driven by technology and our core values: Authenticity, Grit, Curiosity, Humor, and Impact. If you are a forward-thinker who thrives in a diverse global setting, we want to hear from you.

Make An Impact

We are seeking a strategic and execution-focused Treasury Manager to join our Treasury and Corporate Finance team. In this role, you will own the companys global liquidity, execution, and treasury infrastructure, translating high-level strategy into daily control of cash risk and capital structure. An ideal candidate is a builder who thrives in ambiguity, possesses a strong control mindset, and can maintain a calm, structured approach in fast-paced or leveraged environments.

This role is a hybrid position requiring you to be onsite Monday through Thursday with the option to work remotely on Fridays. You will report directly to the VP of Treasury.

What You Will Do in This Role

• Monitor balances in cash pools and coordinate intercompany funding to meet subsidiary cash requirements. • Manage day-to-day liquidity, including domestic and international cash positioning and forecasting. • Lead and enhance the 13-week cash forecasting process, including variance analysis and reporting to management. • Compile, analyze, and present financial information for weekly, monthly, quarterly, and year-end management reporting. • Partner with foreign finance teams to review and validate cash flow projections. • Identify and implement treasury best practices to optimize liquidity, working capital, and financial risk management. • Develop, maintain, and document cash management procedures, guidelines, and treasury policies. • Prepare revolver borrowing recommendations and support debt drawdowns and repayments. • Monitor debt covenant compliance and prepare related calculations, certifications, and lender reporting. • Oversee foreign currency trades using FXall or similar platforms and prepare supporting documentation for FX hedging activities. • Assist with forecasting foreign currency hedging gains and losses. • Support liquidity management initiatives, including monitoring and analyzing corporate banking fees. • Oversee cash movements, intercompany settlements, and reconciliation of intercompany balances. • Prepare interest expense estimates for forecasts, budgets, and long-range planning. • Support treasury systems, controls, audits, and compliance activities. • Collaborate cross-functionally with Accounting, Tax, FP&A, and external banking partners. • Support and continuously improve day-to-day Treasury operations and controls.

Who You Are

Requirements

• A Bachelors degree in Finance, Accounting, or a related discipline • 5-10 years of progressive experience in Treasury, Finance, or Accounting • Strong understanding of cash management, liquidity, forecasting, debt, and foreign exchange • Experience working with global teams and multi-currency environments • Proficiency with treasury management systems, TMS, banking platforms, and advanced Excel • Strong analytical, organizational, and communication skills • Ability to manage multiple priorities in a fast-paced environment • High level of accuracy and discretion

Preferred Qualifications

• Certified Treasury Professional (CTP) certification

What We Offer

• Comprehensive Benefits, including health and well-being services, retirement planning, 401k match, and educational resources • Paid Parental Leave & Return to Work Program, support for new parents and caregivers • Generous Paid Time Off, floating holidays, sick time, personal days, and summer flex Fridays • Work Flexibility, hybrid schedule plus Work-From-Anywhere options • Tuition Reimbursement, support for approved educational programs • Employee Discounts, enjoy savings on Fossil merchandise

At Fossil Group, we embrace purpose and take every opportunity to work together to make the world a little better. We are committed to fostering a culture of inclusivity and collaboration, where all employees are encouraged to contribute their unique selves and perspectives as valued members of our team.

We are an Equal Employment Opportunity Employer, dedicated to a policy of non-discrimination in all employment practices, without regard to age, disability, gender identity or expression, marital status, pregnancy, race, religion, sexual orientation, or any other protected characteristic.

If you need any accommodations during the interview process, just let us know at careers@fossil.com.

About the Company

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Fossil Group Inc