This role will partner closely with the Chief Financial Officer, Finance leadership, Accounting, FP&A, Legal, Human Resources, and external advisors to protect the Company's financial position, maintain compliance across relevant jurisdictions, optimize cash deployment, and support strategic initiatives including acquisitions, financing activities, and international expansion. Treasury leaders commonly own cash positioning, liquidity forecasting, working-capital optimization, banking relationships, and financial risk management; this role combines those responsibilities with company-wide tax leadership.