Remote Assistant Treasurer — Path to Treasurer

Vero Networks

United States

Remote

USD 100,000 - 130,000

Full time

14 days+
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Benefits offered by this job

Life Insurance & AD&D
Short-Term Disability
Medical plans
PTO & Holidays
Dental & Vision
401(k) match

Job summary

Vero Fiber Networks Holdings is seeking an Assistant Treasurer to lead daily treasury operations from a fully remote, U.S.-based role. You will own cash management, liquidity forecasting, treasury controls, and debt reporting across VFN Holdings, Inc.

and subsidiaries, with a clear path to Treasurer as the company scales. The role targets a hands-on candidate from a Cash Manager or Treasury Analyst background, offering exposure to lenders and finance leadership, plus opportunities to build

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related field.
  • 3–6 years of progressive treasury, cash management, banking, or corporate finance experience.
  • Solid understanding of cash management and liquidity forecasting; exposure to credit facilities, covenants, or debt compliance reporting is a strong plus.
  • Strong Excel and analytical skills, with sharp attention to detail and a controls-oriented mindset.
  • Excellent communication skills and the confidence to interact with lenders, auditors, and senior leadership.
  • Self-starter who thrives with ownership and ambiguity in a mid-sized, fast-growing company where collaboration and adaptability are key.

Responsibilities

  • Cash Management: Own daily cash positioning, liquidity forecasting, and bank account administration across all entities; manage short-term funding needs, sweeps, and the consolidated cash forecast to ensure the company always has the right liquidity in the right place.
  • Treasury Controls: Establish, document, and enforce treasury controls, including payment approval workflows, bank administration and user access, segregation of duties, and wire/ACH security protocols; partner with accounting on bank reconciliations and treasury-related close items.
  • Debt Compliance Reporting: Manage compliance and reporting for the company’s credit facilities, including covenant calculations and certificates, borrowing base reporting, draw and paydown requests, and lender and administrative agent reporting packages; track key dates and deliverables to ensure timely, accurate submissions.
  • Maintain banking relationships and serve as a primary point of contact for treasury operations with banks, the administrative agent, and lender group.
  • Monitor interest rate exposure and debt service obligations; support modeling of liquidity, capacity, and funding scenarios tied to network expansion and M&A activity.
  • Support capital markets and financing activity, including facility amendments, expansions, and new facilities, by preparing schedules, reporting, and supporting analysis.
  • Build and improve treasury processes, systems, and reporting — bringing scalable, repeatable structure to a fast-growing finance function.
  • Partner cross-functionally with accounting, FP&A, and subsidiary finance teams on forecasting, funding, and compliance matters.

Skills

Cash management
Liquidity forecasting
Treasury controls
Debt reporting
Excel
Financial analysis
Communication with lenders

Education

Bachelor’s degree in Finance, Accounting, Economics, or related field

Tools

Excel
ERP systems

Job description

Vero Fiber Networks Holdings is seeking an Assistant Treasurer to lead daily treasury operations from a fully remote, U.S.-based role. You will own cash management, liquidity forecasting, treasury controls, and debt reporting across VFN Holdings, Inc.

and subsidiaries, with a clear path to Treasurer as the company scales. The role targets a hands-on candidate from a Cash Manager or Treasury Analyst background, offering exposure to lenders and finance leadership, plus opportunities to build

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