Principal Treasury

Skychefs

Irving (TX)

On-site

USD 98,000 - 128,000

Full time

14 days+
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Job summary

SkyChefs is seeking an experienced Principal Treasury to lead debt compliance, cash forecasting, and financial analysis at our Irving, TX site. This role partners with leadership to optimize liquidity, strengthen treasury processes, and drive strategic financing decisions.

Ideal candidates bring 3+ years in Corporate Treasury/FP&A, advanced Excel modeling, and strong knowledge of SAP and treasury operations to support multinational finance activities in a fast-paced environment.

Qualifications

  • 3+ years in Corporate Treasury or Treasury/FP&A with debt forecasting and covenant reporting.
  • ,

Responsibilities

  • Lead debt compliance and monitoring program, documenting policies and reporting timelines.
  • Develop and refine the 13-week cash flow forecasting process with cross-functional partners.
  • Build sophisticated models for lease financing, debt structuring, and capital planning.
  • Support financing transactions, working capital initiatives, and lender interactions.
  • Prepare presentations and analyses for executives, lenders, and investors.

Skills

Financial modeling
Forecasting
Debt covenant reporting
Excel
ERP (SAP)
Cross-functional influence

Education

Bachelor's degree in Finance/Accounting or related
MBA/CPA/CFA/CTP or related master's preferred

Tools

SAP
Financial planning tools

Job description

Career Opportunities: Principal Treasury (8282)

Requisition ID8282-Posted -Irving-Accounting & Finance-TX

Job Title:Principal Treasury
Job Location:Irving-USA-75039
Work Location Type:On-Site
Salary Range:$98,000.00 - 128,000.00

About us

Since 1942, SkyChefs has taken culinary excellence to new heights. As a trusted partner to the nation’s leading airlines and retailers, we proudly deliver millions of meals and exceptional service experiences every year across 43 sites throughout the United States. Built on a legacy of operational excellence, culinary expertise, and continuous innovation, we are committed to setting the industry standard in aviation culinary, airline services, last-mile logistics, and retail commerce. From the kitchen to the runway, our teams work together to deliver quality, reliability, and service at every altitude. Our people are the heart of everything we do. At SkyChefs, a career is more than a job – it’s an opportunity to grow, lead, and make an impact in a fast-paced, team-driven environment. Join America’s first, foremost, and finest and take your career to new heights.

Position Overview

We are seeking an experienced, detail-oriented, and highly analytical Treasury Principal to play a key role in advancing and strengthening our treasury function. This individual will lead the company's debt compliance and monitoring program while serving as a strategic partner in cash planning, liquidity forecasting, and financial analysis. The Treasury Principal will be responsible for ensuring compliance with debt obligations, providing actionable insights on cash flow and liquidity, and supporting the organization's overall financial strategy.

Reporting to the Manager of Treasury, this position will collaborate closely with the Vice President of FP&A and Treasury and other cross-functional stakeholders to optimize cash management, enhance treasury processes, and support critical business decisions. The ideal candidate will bring strong financial acumen, exceptional analytical capabilities, and the ability to influence key stakeholders in a dynamic, fast-paced environment.

Preference will be given to candidates residing in the Dallas-Fort Worth (DFW) area

  • Work location: @SkyChefs corporate headquarters in Irving, TX
  • Work type: onsite Monday-Thursday, Friday remote
Main Accountabilities
  • Lead the enhancement and formalization of the company’s debt compliance and monitoring program, including documenting policies and procedures, establishing reporting timelines and responsibilities, preparing compliance reports for financing partners, forecasting financial covenant performance, and responding to lender inquiries.
  • Support the development and ongoing refinement of the 13-week cash flow forecasting process by leveraging existing tools, processes, and cross-functional partnerships to improve forecast accuracy and visibility into liquidity trends.
  • Develop and maintain sophisticated financial models to support lease financing, debt structuring, capital planning, and other strategic financing decisions. Partner closely with cross-functional stakeholders to ensure model assumptions, inputs, and outputs are accurate, aligned, and reflective of both internal objectives and external stakeholder expectations.
  • Contribute to special projects and other treasury-related initiatives, including:
    • Assisting with the management of the company’s portfolio of letters of credit.
    • Supporting the execution of financing transactions and working capital improvement initiatives.
    • Preparing presentations, analyses, and materials for executive leadership, lenders, investors, and other external partners related to strategic projects, financing activities, and other key business initiatives.
Knowledge, Skills and Experience
  • Bachelor's degree in Finance, Accounting, or a related quantitative business discipline required; MBA, CPA, CFA, CTP, or a master's degree in a related field preferred.
  • Minimum of 3 years of experience in Corporate Treasury, or a combination of Treasury and Financial Planning & Analysis (FP&A), with significant experience in debt covenant compliance reporting, financial forecasting, and advanced financial modeling.
  • Proven track record of owning and delivering debt covenant reporting and forecasting, including analysis of EBITDA, leverage ratios, fixed charge coverage ratios, and other key financial metrics.
  • Strong aptitude for working in the details of financial models, banking activity, cash flows, and financial statements, while maintaining the ability to synthesize information and communicate key business insights.
  • Experience supporting organizations with multiple legal entities required; experience within multinational and private equity-backed companies strongly preferred.Exceptional analytical and problem-solving skills, with a high level of attention to detail, commitment to accuracy, and advanced proficiency in Excel and financial modeling.
  • Advanced knowledge of accounting principles, financial statement analysis, treasury operations, and financial systems, including ERP platforms (such as SAP) and financial planning tools.
  • Excellent verbal and written communication skills, with the ability to effectively present complex financial concepts, assumptions, and analyses to executive leadership and external stakeholders.
  • Demonstrated ability to build collaborative relationships across functions and influence key stakeholders in a fast-paced, dynamic business environment.

SkyChefs is an EEO and Affidative Action Employer of Women/Minorities/Veterans/Individuals with Disabilities.

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