Global Treasury Leader: Liquidity & Growth Strategy

Loram

Hamel (MN)

On-site

USD 154,000 - 238,000

Full time

6 days ago
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Benefits offered by this job

Health insurance
Dental insurance
Vision insurance
HSA options
FSA options
Life insurance
Disability insurance
401(k) match
Employee assistance

Job summary

Loram in Hamel, MN is seeking a Global Treasurer to own enterprise liquidity, capital structure, and treasury strategy, reporting to the CFO. This role leads a small team and partners across the organization to support growth, acquisitions, and international expansion.

The ideal candidate has 12+ years in treasury and related finance, strong leadership, and experience with cash forecasting, banking relationships, debt facilities, and treasury governance.

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, Business, or related discipline.
  • 12+ years of experience in treasury, corporate finance or related disciplines.
  • Experience leading treasury activities in a global, multi-entity organization.
  • Strong knowledge of capital structure, debt financing, liquidity management, and treasury controls.
  • Experience advising senior executives and supporting acquisitions or international expansion.
  • Prior people management experience, including leading a small team.

Responsibilities

  • Develop and execute Loram's global treasury strategy aligned with objectives.
  • Advise the CFO on capital structure, liquidity, leverage, debt capacity, financing alternatives, and cash deployment.
  • Lead the evaluation, negotiation, and execution of credit facilities, amendments, refinancings, letters of credit, and bank guarantees.
  • Develop scenario analyses and liquidity stress tests to assess funding needs under changing conditions.
  • Lead treasury support for acquisitions, strategic investments, and international expansion.

Education

Bachelor's degree in Finance, Accounting, Economics, Business, or a related discipline

Job description

Loram in Hamel, MN is seeking a Global Treasurer to own enterprise liquidity, capital structure, and treasury strategy, reporting to the CFO. This role leads a small team and partners across the organization to support growth, acquisitions, and international expansion.

The ideal candidate has 12+ years in treasury and related finance, strong leadership, and experience with cash forecasting, banking relationships, debt facilities, and treasury governance.

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