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Horizons is seeking a Treasury Manager to lead daily corporate cash management operations. The Treasury Manager will be responsible for overseeing currency risk, cash movements, and ensuring compliance with transfer pricing and intercompany debt agreements.
  • Manage relationships with banks and financial service providers
  • Assist in preparing cash forecasting models
  • Coordinate daily liquidity needs and intercompany cash movements
  • Oversee foreign exchange (FX) exposure and implement policies and procedures for FX activities
  • Establish and maintain controls and procedures for corporate bank account and banking platform access
  • Recommend improvements to cash control structures and ensure compliance with internal treasury controls
  • Drive the implementation of consolidated cash reporting
Requirements:
  • Bachelor's degree in finance, accounting, or a related field. MBA or Professional certifications such as a CPA a plus
  • 3+ years of progressively responsible experience in international treasury management
  • Knowledge of banking/merchant processing and payment files is a plus
  • Global cash management experience and a strong understanding of foreign currency issues
  • Proficient in Microsoft Office
  • Exposure to ERP systems, with NetSuite experience a plus
  • Excellent communication and interpersonal skills
  • Proactive self-starter with a strong sense of urgency and ability to execute effectively
Horizons offers:
  • A competitive salary
  • An asynchronous working environment
  • A Remote-First company environment (or Hybrid)
  • The ability to work from abroad for a short period of time
  • Growth opportunities within the company
  • Necessary hardware to ensure success from day one
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Horizons

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