We are seeking a strategic and hands-on Senior Manager, Treasury to own and evolve our global cash management and treasury operations in a dynamic, multi-entity, multi-currency record label environment. This role is critical to translating forecasted financial performance into actionable cash insights, ensuring liquidity, covenant compliance, and strong banking partnerships as the company scales. This role reports into the head of FP&A and you will partner closely with FP&A, Accounting, Legal, and senior Finance leadership, and will be the primary owner of our cash forecast and external banking relationships. The ideal candidate is both analytically strong and operationally disciplined, with the ability to connect projected financials, debt structures, and working capital dynamics to real-time cash decision-making.
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Job Type
Full-time
Career Level
Manager
Number of Employees
251-500 employees