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Senior Manager, Treasury

Avid (avid.com)

Canada

Remote

CAD 139,000 - 155,000

Full time

Today
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Job summary

A dynamic tech company in Canada is seeking a highly motivated Senior Manager, Treasury to lead global treasury operations. This role entails managing cash, liquidity, banking relationships, and compliance. The ideal candidate will have over 8 years of treasury experience in a fast-paced SaaS environment, strong financial acumen, and excellent leadership skills. The company promotes a collaborative work environment with a remote work model and offers an attractive benefits package.

Benefits

Attractive benefits package
Access to development programs
Flexible remote work

Qualifications

  • 8+ years of progressive treasury or corporate finance experience.
  • Experience in a PE-backed fast-growth SaaS or tech company.
  • Demonstrated expertise in global cash management, banking, FX, and debt compliance.

Responsibilities

  • Develop and lead global cash flow forecasting.
  • Manage banking infrastructure and improve treasury processes.
  • Ensure compliance with internal control frameworks and SOX.

Skills

Financial acumen
Attention to detail
Problem-solving ability
Stakeholder management skills
Leadership

Education

Bachelor's degree in Finance, Accounting, or related field
CTP, MBA, or CPA preferred

Tools

Excel
Treasury systems (e.g., Kyriba, SAP)
Job description

It's fun to work in a company where people truly BELIEVE in what they're doing! We are committed to bringing passion and customer focus to the business.

About Avid

Avid makes technology and collaborative tools so creators can entertain, inform, educate and enlighten the world. Our customers are the visionaries behind the most inspiring feature films, television programs, news broadcasts, televised sporting events, music recording and live concerts. To learn how Avid powers greater creators or for more information, visit www.avid.com.

Job Summary

We are seeking a highly motivated and experienced Senior Manager, Treasury to lead Avid’s global treasury operations. Reporting to the SVP, Global Controller, this strategic leadership position will play a critical role in managing the company’s global cash, liquidity, banking relationships, and compliance with debt covenants. This position requires strong financial acumen, attention to detail, and the ability to operate in a fast‑paced, results‑driven, and highly accountable environment. This role partners closely with Accounting, Finance, and senior leadership to support the company’s financial health and risk mitigation in a fast‑paced, PE‑owned global SaaS environment.

Responsibilities and Duties
Cash & Liquidity Management
  • Develop and lead daily, weekly, and long‑term global cash flow forecasting focusing on working capital optimization
  • Lead global liquidity planning and partner cross‑functionally to optimize working capital utilization
  • Manage daily U.S. and international cash positioning, concentration, and fund transfers
  • Monitor global cash balances and develop strategies for effective deployment and utilization
Banking & Treasury Operations
  • Manage banking infrastructure, including administration of accounts, signatories, and bank platforms
  • Review and improve treasury systems, tools, and automation processes
  • Ensure timely and accurate reconciliation of all bank accounts in coordination with accounting
  • Evaluate and implement process enhancements to drive efficiency and strengthen internal controls
Debt & Risk Management
  • Maintain compliance reporting for company debt, including covenant tracking and lender deliverables
  • Coordinate and validate all debt‑related transactions, including interest, principal, and lender fee payments
  • Ensure full compliance with SOX and internal control frameworks
  • Assess and manage financial risk exposure, including foreign currency and counterparty risk
Team Leadership & Collaboration
  • Set clear goals and performance metrics aligned with company and team objectives
  • Collaborate cross‑functionally with FP&A, Accounting, Legal, and Tax on treasury‑related activities
  • Support Finance leadership with insights related to liquidity risk and cash availability for strategic decisions
Qualifications & Skills
  • Bachelor's degree in Finance, Accounting, or a related field (CTP, MBA, or CPA preferred)
  • 8+ years of progressive treasury or corporate finance experience
  • Experience in a PE‑backed fast‑growth SaaS or tech company
  • Demonstrated expertise in global cash management, banking, FX, and debt compliance
  • High proficiency in Excel and financial modeling; experience with treasury systems (e.g., Kyriba, SAP, or similar)
  • Strong leadership, communication, and stakeholder management skills
  • Detail‑oriented, with strong analytical and problem‑solving ability
  • Proven ability to thrive in a fast‑paced, hands‑on environment
What to Look Forward To
  • Join a global team and experience a dynamic, collaborative work environment that fosters innovation and growth.
  • Remote work model offering flexibility to balance work and life.
  • Access to development programs with strong support and mentoring to help you grow and advance within the company.
  • Equal opportunity employer committed to diversity, inclusivity, and creating a welcoming environment for all employees.
  • Attractive benefits package including health & life insurance, referral rewards, and generous leave policies to ensure a healthy work‑life balance.

Avid is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.

US Pay Transparency Range $139,400.00 - $155,000.00

If you like wild growth and working with happy, enthusiastic over‑achievers, you'll enjoy your career with us!

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