Finance Manager, Treasury

Sherwin-WilliamsCleveland, OH
Onsite

About The Position

This position is not hybrid/remote and will be located at our Global Headquarters in Cleveland, OH. Because this role involves access to confidential financial information, the Company has determined that a review of criminal history is necessary to protect the business and its operations and reputation and to provide similar protections for its clients and potential investments.

Requirements

  • Bachelors Degree in Accounting or Finance
  • 5+ years of Treasury or related financial experience in a large, global organization.
  • Must be legally authorized to work in the United States without sponsorship now or in the future for employment visa status
  • Must be at least eighteen (18) years of age

Nice To Haves

  • MBA
  • Experience working with treasury systems.
  • Supervisory experience
  • Experience with Oracle, OneStream, or Reval

Responsibilities

  • Oversees the preparation of the Company’s daily cash position for the US, Canada and the Caribbean and review borrowing and investment decisions with staff.
  • Compiles the daily, monthly, quarterly and annual cash flow forecast for the Company’s US, Canadian and Caribbean operations. Also responsible for preparation of annual cash flow budget for same region.
  • Support the execution of Treasury Stock Repurchases and ensure they are properly settled and reported.
  • Review the Company’s US, Canadian and Caribbean account structure, proposes and implements changes to banking partners, structure, services and controls.
  • Supports management and administration of global netting program
  • Acts as owner for the Company’s treasury systems including the treasury management system (TMS) and bank portals and leads any optimization efforts related to them.
  • Support the issuance and reporting of letters of credit, bank guarantees and surety bonds
  • Participates in strategic projects, including transformation efforts, mergers and acquisitions, legal entity rationalizations, etc.
  • Coordination and analysis of leasing and financing arrangements
  • Manage all accounting, reporting and reconciliation obligations related to treasury transactions, ensuring the accurate and complete recording of cash, debt, investment, and hedging activities.
  • Monitor bank and other financial fees and suggest and execute cost savings initiatives
  • Coordinate the monthly compilation and distribution of treasury metrics and related reports
  • Oversee the collection of information to comply with internal and external audit requests.
  • Support Know Your Customer (KYC) requests from banking partners.
  • Assist with compiling and analyzing investment performance reports, ensuring data is reported timely, accurately and completely
  • Identify, quantify, and monitor regional net foreign currency exposures for the North American region, propose solutions to mitigate such risk, and execute hedging strategies in accordance with company policy
  • Execute and confirm FX transactions monthly to settle cross-currency exposures and funding within the region.
  • Develops, cultivates and manages relationships with banks, vendors, internal stakeholders (tax, legal SBS, accounting, etc.), etc.
  • Direct management and responsibility for career development and accountability of staff
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service