Treasury and Risk Manager

YETI•Austin, TX
•Onsite

About The Position

At YETI, we believe that time spent outdoors matters more than ever and our gear can make that time extraordinary. When you work here, you’ll have the opportunity to create exceptional, meaningful work and problem solve with innovative team members by your side. Together, you’ll help our customers get the high-quality gear they need to make the most of their adventures. We are BUILT FOR THE WILD™. YETI is seeking a highly motivated and strategic Treasury & Risk Manager to join our Finance organization at our Austin, TX headquarters. This role will sit at the intersection of Treasury, Risk Management, and Financial Strategy, playing a critical role in safeguarding YETI’s financial position through treasury and risk management practices. The position offers the opportunity to build and enhance treasury and risk frameworks in a dynamic, global consumer brand environment. The ideal candidate will bring a strong foundation in cash management, financial risk mitigation, banking relationships, cash flow hedging and corporate insurance programs, along with a proactive mindset focused on process improvement, scalability, and disciplined risk management.

Requirements

  • Bachelor’s degree in Finance, Accounting, Risk Management, or related field.
  • 8+ years of experience in relevant roles building transferable skills
  • Background in consumer products, retail, or manufacturing environments strongly preferred
  • Experience managing multi-line commercial insurance programs
  • Demonstrated experience executing and accounting for FX hedging strategies (e.g., forwards, options)
  • Ability to operate effectively in a fast-paced, high-growth environment with competing priorities
  • SAP experience preferred. Major ERP system experience required, including experience working in a multi-national enterprise.
  • Understanding and experience with SOX internal control requirements
  • Excellent communication and stakeholder management skills

Nice To Haves

  • Master’s degree and/or Certified Treasury Professional (CTP) preferred

Responsibilities

  • Manage daily cash positioning, forecasting, and liquidity planning across global operations
  • Develop and maintain short- and long-term cash flow forecasts
  • Optimize working capital and cash conversion cycles
  • Oversee global cash movement, intercompany funding, and cash pooling strategies
  • Monitor compliance with debt covenants and maintain appropriate liquidity buffers
  • Implement cash flow hedging
  • Manage relationships with banking partners and financial institutions
  • Oversee credit facility administration, including borrowings and compliance reporting
  • Support development and execution of capital structure planning and financing strategies
  • Evaluate opportunities to optimize cost of capital and liquidity
  • Identify, assess, and mitigate key financial risks, including liquidity risk, foreign exchange (FX) risk, and interest rate risk
  • Support development and execution of hedging strategies where appropriate
  • Maintain and enhance treasury and risk management policies
  • Oversee the strategic management of the commercial insurance program (other than employee benefits) and lead the annual renewal process
  • Manage relationship with external insurance broker, set performance expectations and drive accountability
  • Evaluate program structure (limits, deductibles, retentions) to balance risk retention and cost efficiency
  • Oversee claims management process, including coordination, tracking and resolution.
  • Partner with legal and procurement to review contractual insurance requirements and risk transfer provisions
  • Support insurance-related disclosures, audits, and compliance requirements
  • Prepare and manage the annual insurance and claims budgets

Benefits

  • Click here to learn about the benefits and perks we offer at YETI.
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