Treasury Manager

NavanSan Francisco Bay Area, CA
17d

About The Position

Navan is revolutionizing global travel and expense management, and we're looking for a highly motivated Treasury Manager to join our rapidly expanding team. The Treasury Manager will play a critical role in overseeing treasury operations and shaping the company’s capital structure, liquidity and cash management policies, and financial risk framework. This cross-functional role sits at the intersection of capital markets, corporate finance, and treasury operations—supporting long-term growth by ensuring access to capital, optimizing balance sheet efficiency, and building scalable forecasting and risk management capabilities. This role is ideal for someone with a proven background in treasury operations, cash management, or corporate finance, who is eager to further develop expertise in managing liquidity, optimizing cash flow, and supporting capital markets activities.

Requirements

  • 5+ years of experience in treasury, corporate finance, FP&A, investment banking, or another analytical role.
  • Strong financial modeling and data analysis skills, with the desire to expand into advanced treasury concepts.
  • A proactive, detail-oriented problem solver with strong business judgment.
  • Excellent communication skills and the ability to collaborate across teams.
  • Eagerness to learn, take ownership, and grow within a high-growth, evolving environment.
  • Adaptable and can adjust to changing responsibilities and an eagerness to learn in a constantly evolving environment.
  • Bachelor’s degree in Finance, Economics, or a related field.

Responsibilities

  • Treasury Operations & Forecasting Build and maintain cash flow and free cash flow forecasts to support liquidity planning and decision-making.
  • Assist in balance sheet forecasting and capital planning tied to warehouse activity and business growth.
  • Help prepare regular and ad-hoc reporting for senior management and the Board.
  • Establish and implement policies and controls relating to cash movement, banking, and treasury operations to support business needs and mitigate financial risk.
  • Experience in managing banking structure and bank accounts globally, maintaining and tracking bank register and other ad-hoc regulational requirements
  • Capital Markets Support Support the administration of existing debt facilities (warehouses, asset-based lines, term loans), including reporting, covenant tracking, forecasting, and lender communications.
  • Contribute to analyses for potential new funding structures or amendments.
  • Assist in evaluating capital structure alternatives and cost-of-capital initiatives.
  • Risk Management Help develop and maintain risk frameworks across foreign exchange, interest rate, liquidity, and counterparty exposure.
  • Participate in monitoring FX exposures and contribute to hedging recommendations.
  • Assist in assessing the creditworthiness of banking and investment counterparties.
  • Investments & Insurance Support oversight of the company’s investment portfolio, ensuring alignment with liquidity needs and risk guidelines.
  • Help coordinate corporate insurance programs and annual renewals.
  • Cross-Functional Collaboration Work with FP&A, Accounting, Legal, Credit, and Product to support treasury-related projects and strategic initiatives.
  • Contribute to building and improving treasury policies, processes, and controls.
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