Richardson, TX30+ days ago
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. 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.