Corporate Treasurer

United Wheels Inc.Miamisburg, OH
Onsite

About The Position

The Corporate Treasurer is responsible for leading the global Treasury, Accounts Payable (AP), and Accounts Receivable (AR) functions for Covation Global and its affiliates. This role ensures effective liquidity management, cash forecasting, credit and collections, and vendor payments while implementing strategies to optimize working capital and free cash flow. The Director partners with the SVP, Finance & Treasury, Group Treasurer, the Group CFO, and other finance leaders to strengthen governance, compliance, and operational efficiency, while driving continuous improvement and automation across Treasury, AP, and AR processes. This position plays a critical role in maintaining strong banking relationships, improving visibility into global cash flows, and enabling scalable financial operations in support of Covation Global’s growth strategies.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field required
  • 10+ years of progressive Treasury/Finance leadership experience, preferably with direct oversight of AP and AR functions.
  • Proven track record of improving treasury operations, liquidity planning, and working capital metrics.
  • Experience managing global banking relationships and ABL credit facilities.
  • Strong background with ERP and TMS platforms

Nice To Haves

  • MBA, CPA, and/or CTP preferred
  • prior implementation experience a plus
  • Experience in multinational, manufacturing, or consumer products companies preferred

Responsibilities

  • Direct global Treasury operations, including cash forecasting, liquidity management, and banking relationships.
  • Develop strategies to optimize working capital by improving DSO and DPO performance.
  • Partner with FP&A, Supply Chain, and Sales to improve cash forecasting accuracy.
  • Manage global banking relationships and ABL credit facilities.
  • Lead the AP and AR functions, ensuring efficiency, accuracy, and adherence to company policies and procedures.
  • Manage vendor and customer credit risk.
  • Oversee the annual business insurance renewal process, ensuring coverages align with business requirements and risk tolerance levels.
  • Ensure compliance with internal controls, audit requirements, and company policies.
  • Establish and monitor KPIs for Treasury, AP, and AR functions, providing regular reports to senior leadership.
  • Implement Treasury Management Systems (TMS) and support ERP/automation initiatives.
  • Lead continuous improvement initiatives across global finance operations.
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