Global Treasury Transformation Leader

Talentify

Lenexa (KS)

On-site

USD 120,000 - 160,000

Full time

14 days+
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Benefits offered by this job

Healthcare coverage
401(k) with company match
Employee ESOP
Tuition reimbursement
Paid time off

Job summary

Forté is seeking a Treasury Manager to lead its global treasury operating model, driving cash visibility, banking controls, and debt compliance across multiple jurisdictions. You will partner with Accounting, Tax, Finance, Legal, IT, and regional leaders to optimize liquidity and funding strategies for a rapidly growing, employee-owned company.

The role emphasizes building scalable treasury practices, managing cash forecasting, and coordinating intercompany funding while ensuring regulatory

Qualifications

  • Bachelor’s degree in finance, accounting, economics, business, or a related field.
  • Five years of progressive corporate treasury or related finance experience, multinational environment.
  • Experience with global cash management, liquidity forecasting, bank administration, cross-border funding, FX risk, and internal controls.

Responsibilities

  • Lead global banking consolidation and treasury transformation, including centralization and regional responsibilities.
  • Define the global treasury operating model and service standards across countries.
  • Standardize cash positioning, forecasting, payments, and intercompany funding processes.
  • Develop and execute a phased banking transition roadmap with regional teams and banks.
  • Establish connectivity among banks, ERP systems, payments, and reporting tools with proper controls.

Skills

Treasury expertise
Project management
Analytical skills
Excel mastery
Cross-functional collaboration

Education

Bachelor’s degree in finance

Tools

ERP systems
SWIFT

Job description

Forté is seeking a Treasury Manager to lead its global treasury operating model, driving cash visibility, banking controls, and debt compliance across multiple jurisdictions. You will partner with Accounting, Tax, Finance, Legal, IT, and regional leaders to optimize liquidity and funding strategies for a rapidly growing, employee-owned company.

The role emphasizes building scalable treasury practices, managing cash forecasting, and coordinating intercompany funding while ensuring regulatory

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