CrawlJobs Logo

Treasury Manager

creandum.com Logo

Creandum

Location Icon

Location:
United States , New York

Category Icon
Category:

Job Type Icon

Contract Type:
Not provided

Salary Icon

Salary:

105000.00 - 190000.00 USD / Year

Job Description:

Navan is revolutionizing global travel and expense management, and we're looking for a highly motivated Treasury Manager to join our rapidly expanding team. The Treasury Manager will play a critical role in overseeing treasury operations and shaping the company’s capital structure, liquidity and cash management policies, and financial risk framework. This cross-functional role sits at the intersection of capital markets, corporate finance, and treasury operations—supporting long-term growth by ensuring access to capital, optimizing balance sheet efficiency, and building scalable forecasting and risk management capabilities.

Job Responsibility:

  • Build and maintain cash flow and free cash flow forecasts to support liquidity planning and decision-making
  • Assist in balance sheet forecasting and capital planning tied to warehouse activity and business growth
  • Help prepare regular and ad-hoc reporting for senior management and the Board
  • Establish and implement policies and controls relating to cash movement, banking, and treasury operations
  • Experience in managing banking structure and bank accounts globally, maintaining and tracking bank register and other ad-hoc regulational requirements
  • Support the administration of existing debt facilities (warehouses, asset-based lines, term loans), including reporting, covenant tracking, forecasting, and lender communications
  • Contribute to analyses for potential new funding structures or amendments
  • Assist in evaluating capital structure alternatives and cost-of-capital initiatives
  • Help develop and maintain risk frameworks across foreign exchange, interest rate, liquidity, and counterparty exposure
  • Participate in monitoring FX exposures and contribute to hedging recommendations
  • Assist in assessing the creditworthiness of banking and investment counterparties
  • Support oversight of the company’s investment portfolio, ensuring alignment with liquidity needs and risk guidelines
  • Help coordinate corporate insurance programs and annual renewals
  • Work with FP&A, Accounting, Legal, Credit, and Product to support treasury-related projects and strategic initiatives
  • Contribute to building and improving treasury policies, processes, and controls

Requirements:

  • 5+ years of experience in treasury, corporate finance, FP&A, investment banking, or another analytical role
  • Strong financial modeling and data analysis skills
  • A proactive, detail-oriented problem solver with strong business judgment
  • Excellent communication skills and the ability to collaborate across teams
  • Eagerness to learn, take ownership, and grow within a high-growth, evolving environment
  • Adaptable and can adjust to changing responsibilities
  • Bachelor’s degree in Finance, Economics, or a related field
What we offer:
  • Generous medical plans, dental, and vision benefits with premiums covered by Navan
  • Various insurance options designed to cover each family's needs
  • Paid parental and bereavement leave
  • Subsidized commuter benefits
  • Mental health support
  • Connectivity stipends
  • Pet insurance

Additional Information:

Job Posted:
December 07, 2025

Employment Type:
Fulltime
Work Type:
On-site work
Job Link Share:

Looking for more opportunities? Search for other job offers that match your skills and interests.

Briefcase Icon

Similar Jobs for Treasury Manager

Treasury manager

Treasury Manager at Global FintechLead a dynamic treasury team in a fast-growing...
Location
Location
Japan , Tokyo
Salary
Salary:
8000000.00 - 15000000.00 JPY / Year
https://www.randstad.com Logo
Randstad
Expiration Date
July 02, 2026
Flip Icon
Requirements
Requirements
  • 7+ years of treasury experience in financial services
  • Experience as a Treasury Manager in a banking setting
  • Excellent analytical skills and a hands-on approach
  • Ability to communicate complex financial concepts clearly
  • Fluency in English and Japanese
  • Bachelor's degree in finance, economics, or a related field
  • Proven team leadership and motivation skills
  • Strong understanding of financial regulations
  • Experience with financial modeling and forecasting
  • Experience in a fast-paced environment
Job Responsibility
Job Responsibility
  • Lead liquidity risk management for the Japan business
  • Develop and implement robust liquidity management frameworks
  • Build and maintain models for liquidity forecasting
  • Advise on capital and liquidity requirements for new product development
  • Manage and optimize ongoing liquidity adequacy
  • Support business decision-making regarding liquidity
  • Maintain expertise in liquidity regulation
  • Lead the monthly ALCO review process
What we offer
What we offer
  • 健康保険
  • 厚生年金保険
  • 雇用保険
  • 土曜日
  • 日曜日
  • 祝日
  • 賞与 10%
  • Fulltime
Read More
Arrow Right

Treasury Manager

Robert Half is seeking a highly skilled Treasury Manager to join a dynamic and g...
Location
Location
United States , Olathe
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor’s degree in Finance, Accounting, Business Administration, or a related field
  • 5+ years of experience in treasury management, cash flow forecasting, and financial risk analysis
  • Knowledge of banking systems, treasury management software, and financial modeling tools
  • Strong analytical, organizational, and decision-making skills
  • Excellent communication and interpersonal abilities to liaise with stakeholders and lead teams effectively
Job Responsibility
Job Responsibility
  • Supervise daily cash flow activities, monitor banking transactions, and ensure appropriate levels of liquidity for operational needs
  • Develop and maintain short-term and long-term financial forecasts, including cash flow projections and budgetary analysis
  • Manage all banking relationships, negotiate terms, and monitor compliance with service agreements
  • Evaluate and mitigate financial risks while ensuring compliance with regulations and industry best practices
  • Oversee corporate investments, evaluate opportunities, and ensure portfolio alignment with organizational objectives
  • Administer debt and financing arrangements, including reporting and repayment tracking
  • Manage, mentor, and develop the treasury team while collaborating with cross-functional stakeholders
What we offer
What we offer
  • medical, vision, dental, and life and disability insurance
  • eligible to enroll in our company 401(k) plan
  • Fulltime
Read More
Arrow Right

Treasury Manager

We're seeking a highly skilled Treasury Manager to lead global treasury operatio...
Location
Location
United States , Oklahoma City
Salary
Salary:
Not provided
https://www.roberthalf.com Logo
Robert Half
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Bachelor's degree in Finance, Accounting, or related field required
  • Minimum of 5 years of treasury or financial analysis experience
  • Advanced proficiency in Excel and PowerPoint with strong analytical and modeling skills
  • Experience with ERP or data analytics systems (e.g., Great Plains, Tableau, or similar)
  • Exceptional communication and presentation abilities, including experience preparing executive-level reports
  • Proven ability to manage multiple priorities and meet deadlines in a dynamic environment
  • Strong analytical, problem-solving, and organizational skills
  • High level of integrity when handling sensitive and confidential information
Job Responsibility
Job Responsibility
  • Lead daily treasury operations, ensuring accurate liquidity forecasting and efficient cash utilization
  • Support and execute debt, paydown, and interest reduction strategies
  • Monitor covenant ratios and prepare internal and external treasury reports
  • Manage and strengthen banking relationships, serving as the main point of contact for financial partners
  • Collaborate with operations and finance teams to optimize working capital and cost of funds
  • Develop and implement scalable treasury infrastructure to support growth and future expansion
  • Identify opportunities for process improvement and automation within treasury functions
  • Prepare liquidity forecasts and ad hoc financial analyses for leadership
  • Present treasury strategies, findings, and recommendations to senior management
  • Ensure compliance with company policies, controls, and reporting standards
What we offer
What we offer
  • medical
  • vision
  • dental
  • life and disability insurance
  • 401(k) plan
  • free online training
Read More
Arrow Right

Treasury Manager

Join us and help power Giacom’s growth with smart, strategic treasury leadership...
Location
Location
United Kingdom
Salary
Salary:
Not provided
giacom.com Logo
Giacom
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Degree in Finance, Economics, or a related discipline
  • Proven treasury leadership experience in complex environments
  • Strong understanding of capital markets, financial instruments, and risk management
  • Excellent stakeholder engagement and influencing skills
  • Analytical expertise and experience with treasury systems
Job Responsibility
Job Responsibility
  • Designing and delivering Giacom’s treasury strategy
  • Advising on funding, investment, and capital structure
  • Managing cash positioning, liquidity forecasting, and compliance
  • Building strong relationships with banks, external advisors, and internal stakeholders
  • Leading treasury input into strategic projects like M&A and refinancing
What we offer
What we offer
  • Flexible working
  • No dress code
  • 25 days annual leave, plus bank holidays
  • Birthday off
  • A pension plan
  • Complimentary breakfast, lunch, snacks and drinks in all our offices
  • Fulltime
Read More
Arrow Right

Audit Manager - Treasury & Capital Planning Transformation

The Audit Manager is an intermediate level role responsible for performing moder...
Location
Location
Canada , Mississauga
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 6-10 years of relevant experience
  • Related certifications (CPA, ACA, CFA, CIA, CISA or similar) preferred
  • Effective comprehension of business side of audit function and subject matter expertise regarding technology application
  • Effective verbal, written and negotiation skills
  • Effective project management skills
  • Effective influencing and relationship management skills
  • Demonstrated ability to remain unbiased in a diverse working environment
  • Previous experience auditing a Treasury, Capital Planning or similar function
  • External audit also considered if related to Banking
  • Bachelor’s Degree/University degree or equivalent experience
Job Responsibility
Job Responsibility
  • Consistently develop, execute and deliver audit reports in a timely manner, in accordance with Internal Audit and Regulatory standards
  • Review and approve the Business Monitoring Quarterly summary and serve as lead reviewer for all reviews
  • Collaborate with teams across the business and determine impact on overall control environment and audit approach
  • Manage audit activities for a component of a product line, function, or legal entity at the regional or country level
  • Leverage a comprehensive expertise to manage a team
  • Advise the business on change initiatives, while advancing integrated auditing concepts and technology adoption
  • Recommend interventions to issues, propose solutions for risk and control problems, partner with Directors and Managing Directors to develop approaches for broader corporate issues
  • Apply in-depth understanding of Internal Audit standards, policies and regulations to a specific product or function area
  • Fulltime
Read More
Arrow Right

Treasury Balance Sheet Management Senior Analyst

Citi Treasury is looking for an experienced analyst to support Treasury activiti...
Location
Location
Hungary , Budapest
Salary
Salary:
Not provided
https://www.citi.com/ Logo
Citi
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 5+ years of experience in an international environment at Treasury and/or Finance functions
  • University BA/MSc degree desirable in the field of Finance or Economics
  • Excellent written and verbal communication skills are imperative
  • Fluent English language skills
  • Critical Thinking: leverage analytics, benchmarking, and insights to generate meaningful solutions, and connecting dots
  • Strong presentation skills coupled with proven PowerPoint and Excel skills
  • Able to deliver results and meet objectives within a defined time frame
  • Ability to take decision and/or escalate when appropriate to deliver results and meet objectives
Job Responsibility
Job Responsibility
  • Take stewardship of the Risk & Control environment
  • Work closely with other treasury members to understand internal and external risk & control requirement, including the support audit or regulatory inspections
  • Take part in the regulatory exercises and being a key member in the control framework of the entities
  • Gain exposure to and learn about balance sheet, liquidity management, interest rate risk and investment activities as well as business products (Markets, Banking, Wealth)
  • Contribute to enhancing processes to manage these exposures in a well governed environment
  • Learn, adopt and advise on procedures to enhance reporting and decision making in a given subject area and integrating with other team members to accomplish these plans
  • Contribute to the liquidity, balance sheet and interest rate risk management of Europe cluster entities
  • Perform other duties and functions as assigned
What we offer
What we offer
  • Cafeteria Program
  • Home Office Allowance (for colleagues working in hybrid work models)
  • Paid Parental Leave Program (maternity and paternity leave)
  • Private Medical Care Program and onsite medical rooms at our offices
  • Pension Plan Contribution to voluntary pension fund
  • Group Life Insurance
  • Employee Assistance Program
  • Access to a wide variety of learning and development programs, online course libraries and upskilling platforms, such as Udemy and Degreed
  • Flexible work arrangements to support you in managing work - life balance
  • Career progression opportunities across geographies and business lines
  • Fulltime
Read More
Arrow Right

Treasury Manager

As Treasury Manager you will be responsible for managing staff and coordinating ...
Location
Location
United States , Redlands
Salary
Salary:
85280.00 - 144560.00 USD / Year
esri.com Logo
Esri
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • 8 years of relevant Treasury experience working with banking system or ERP transaction security controls, including 3+ years of experience with coordination or leadership responsibilities
  • Experienced knowledge of Microsoft Office tools
  • Experience working in a multi-currency environment with international operations
  • Excellent verbal and written communication and presentation skills, with attention to detail
  • Excellent interpersonal skills, including diplomacy, negotiating, reasoning, and problem solving
  • Possess strong analytical skills, including a thorough understanding of how to interpret business needs
  • Visa sponsorship is not available for this posting. Applicants must be authorized to work for any employer in the US
  • Bachelor's in Accounting or Finance
Job Responsibility
Job Responsibility
  • Serve as primary technical contact for financial transaction research and process improvement initiatives
  • Manage multiple banking and investment broker relationships
  • Manage and respond to banking requested documentation, including for international and domestic account openings and KYC compliance
  • Manage bank account and investment reconciliations and reporting
  • Create and maintain treasury control documentation
  • Oversee Letter of Credit/Bank Guarantee/Bond application processing
  • Provide financial audit support
What we offer
What we offer
  • medical, dental, vision, basic and supplemental life insurance for employees (and their families), 401(k) and profit-sharing programs, minimum accrual of 80 hours of vacation leave, twelve paid holidays throughout the calendar year, and opportunities for personal and professional growth
  • Relocation Assistance Program
  • Fulltime
Read More
Arrow Right

Interim Treasury Manager

Interim Treasury Manager | Fast-Growth Retail & Ecommerce Brand | London/Hybrid....
Location
Location
United Kingdom , London
Salary
Salary:
Not provided
harmonicfinance.com Logo
Harmonic Finance™ | Certified B Corp
Expiration Date
Until further notice
Flip Icon
Requirements
Requirements
  • Prior experience in a Treasury or Finance leadership role, ideally within FMCG, Retail, or another fast-paced industry
  • Demonstrated success in building or enhancing treasury processes and controls
  • Strong analytical and problem-solving skills with a proactive approach
  • Excellent stakeholder management skills with confidence dealing with senior leadership and external partners
Job Responsibility
Job Responsibility
  • Oversee daily cash positioning, forecasting, and liquidity management to ensure optimal working capital levels
  • Lead the development of cash flow forecasting models and provide insightful reporting for leadership and board review
  • Manage and optimise banking structures, facilities, and relationships to support growth and improve financing flexibility
  • Implement strong treasury policies, controls, and operational procedures to enhance governance and mitigate risk
  • Support financing activities - including arranging facilities, managing covenants, and evaluating funding options
  • Monitor and manage financial risks (FX, interest rate, credit), introducing hedging strategies where relevant
  • Collaborate with finance and commercial teams to ensure accurate reporting and compliance with accounting standards
  • Continuously review and streamline treasury operations, identifying opportunities to improve efficiency and visibility
Read More
Arrow Right