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Senior Treasury Manager

Posted April 27, 2026
Full-time Mid-Senior Level

Job Overview

We are looking for a talented  Senior Treasury Manager to join our global Finance organization. This role will report to the CFO, collaborate directly with FP&A, Accounting, Procurement, tax, sales operations to build out and scale up Nexthink’s treasury operations.

If you are a problem solver, independent thinker, self-starter, hands-on, enjoy working in a fast-pace global environment, this is the perfect role for you.
 

  • Be the main point of contact for global banking relationships; manage all bank account opening and closing.
  • Produce a Monthly Cash Forecast.
  • Optimize bank account structure, implement global cash pooling, and maximize efficiency.
  • Collaborate with tax and accounting on global cash repatriation, intercompany loans, and intercompany funding and settlement.
  • Maintain debt covenant compliance and monthly reporting; support financing transactions as needed.
  • Establish Nexthink’s corporate investment policy and propose investment options to optimize investment return on excess cash.
  • Establish Nexthink’s corporate foreign currency hedging program; assess and mitigate FX exposure and analyze hedging effectiveness.
  • Establish global treasury compliance program and centralized global KYC management.
  • Manage treasury reporting; support short-term cash and liquidity forecast and contribute to long-term cash forecast.
  • Optimize and automate treasury reporting; support cross-functional teams on system implementation.
  • Optimize bank fee structure, streamline FX conversion, and assess different payment options for cost effectiveness.
  • Coordinate and support day-to-day operational cash funding and payment processing.
  • Support M&As and other financing activities as needed.
  • Ad hoc projects as needed.

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