Senior Manager, Treasury - Capital Markets & Risk

NutanixSan Jose, CA
$184,800 - $277,200Hybrid

About The Position

Nutanix is seeking a Sr Manager, Treasury - Capital Markets to support the company’s capital structure, funding strategy, and financing related risk management. Reporting to the VP, Treasury, this role will play a critical part in managing corporate debt and revolving credit facilities, supporting liquidity planning, evaluating customer and captive finance models, and engaging with external stakeholders including banks and credit rating agencies. This role requires strong capital markets and Financial Services experience, including debt financing, rating agency engagement, and familiarity with captive or specialty finance structures. The successful candidate will bring analytical rigor, sound judgment, and the ability to operate effectively in a public company treasury environment.

Requirements

  • 7-12+ years of experience in corporate treasury, capital markets, financial services, captive finance, or related roles.
  • Hands on experience with corporate debt and revolving credit facilities (RCFs), including deep expertise in covenant modeling.
  • Background in captive finance, specialty finance, or lending platforms, with a firm grasp of funding structures and credit frameworks.
  • Familiarity with customer financing models and the ability to evaluate economic, risk, and balance sheet implications.
  • Direct experience supporting credit rating agency setup and ongoing engagement.
  • Advanced financial modeling and scenario analysis skills, with the ability to distill complex data into actionable insights.
  • Industry background in technology or SaaS is strongly preferred.
  • Exceptional communication skills, capable of presenting complex financing topics clearly to senior leadership and cross functional partners.

Responsibilities

  • Support the execution and ongoing management of corporate debt structures, including revolving credit facilities (RCFs), term debt, and other financing arrangements.
  • Build and maintain complex covenant, liquidity, and capital structure models to monitor compliance and support amendments, refinancings, or new financings.
  • Evaluate funding alternatives and capital structure options, assessing cost, flexibility, risk, and liquidity implications.
  • Analyze and support the implementation of alternative payment solutions, performing due diligence on third party funders and assessing the impact of captive financing
  • Prepare liquidity planning and cash flow forecasting in close partnership with the FP&A team.
  • Contribute to credit and financial risk assessments related to debt, customer financing arrangements, and evolving market conditions.
  • Develop downside, sensitivity, and stress scenarios to support disciplined financial policy and executive decision making.
  • Lead credit rating agency engagement, including the initial framework setup, preparation of analytical materials/forecasts, and ongoing support.
  • Manage lender, bank, and external advisor relationships specifically related to capital markets and financing activities.
  • Partner cross functionally with FP&A, Accounting, Legal, Tax, and Investor Relations to ensure alignment across forecasting, disclosures, and reporting.
  • Prepare executive and Board level materials regarding capital structure, and strategic financing considerations.
  • Strengthen Treasury processes, controls, and documentation to ensure the organization can scale effectively.

Benefits

  • 401(k) eligibility
  • various paid time off benefits, such as vacation, sick time, and parental leave
  • sign-on bonus
  • restricted stock units
  • discretionary awards
  • full range of medical, financial, and/or other benefits
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