We are seeking an experienced finance and treasury professional with strong analytical and technical skills to help modernize and enhance our global treasury operations. This role is ideal for someone who understands cash flow, liquidity and corporate finance. You will partner closely with the Assistant Treasurer and global finance teams to optimize forecasting, reporting and decision-making through automation and advanced analytics. Key areas of focus include: Cash forecasting and planning at the enterprise level Advancing our standardization and automation efforts across all treasury activities with heavy emphasis on forecasting and reporting Identify and implement process improvements to reduce manual work, enhance data quality and accelerate reporting cycles Global cash and liquidity management Coordinate and drive quarterly cash collections across the organization Sarbanes Oxley and process controls Candidates will need to be effective communicators and comfortable influencing outcomes across functional areas in a matrixed organization with exposure and opportunities to build relationships with senior leaders The position will offer some flexibility for hybrid work schedules to include both in-office presence and telecommute/virtual work, to be based in Dallas, TX.