Global Treasury Manager: Liquidity, Debt & Banking Strategy

BRADY WORLDWIDE INC

Milwaukee (WI)

On-site

USD 120,000 - 190,000

Full time

14 days+
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Benefits offered by this job

Medical, dental, vision
401(k) with company match
Paid time off
Incentive programs
Parental leave
Scholarship program
ERGs and community
Employee Assistance Program
Dress-for-your-day
Matching gifts

Job summary

Brady Corporation seeks a Global Treasury Manager to lead cash and liquidity, optimize capital structure, and manage multinational banking relationships. The role collaborates with executive leadership and cross-functional teams to ensure robust treasury operations, risk management, and accurate financial reporting across global entities.

The position emphasizes strategic oversight, collaboration with tax, legal and finance teams, and a focus on process improvements and compliance within a

Qualifications

  • Bachelor's degree in Accounting or Finance.
  • 6+ years in treasury, corporate finance, banking or audit.
  • Global public company treasury ops experience desirable.
  • Experience with large M&A integrations desirable.
  • Strong accounting and analytical skills.
  • Familiarity with FX hedging and insurance risk management desirable.
  • Excellent communication and ability to manage projects.

Responsibilities

  • Oversee daily cash and liquidity positioning; coordinate short-term borrowing and investments.
  • Optimize capital structure and manage external credit facilities.
  • Manage global banking relationships and account structures.
  • Support M&A integration and treasury systems implementation.
  • Prepare quarterly treasury reporting for filings and leadership.

Skills

Cash Management
Liquidity Planning
Intercompany Loans
FX Hedging
Financial Analysis
Communication Skills
Project Management
Cross-functional Collaboration

Education

Bachelor's in Accounting or Finance

Tools

SAP
OneStream
Microsoft Office
Google Workspace

Job description

Brady Corporation seeks a Global Treasury Manager to lead cash and liquidity, optimize capital structure, and manage multinational banking relationships. The role collaborates with executive leadership and cross-functional teams to ensure robust treasury operations, risk management, and accurate financial reporting across global entities.

The position emphasizes strategic oversight, collaboration with tax, legal and finance teams, and a focus on process improvements and compliance within a

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