Treasury Manager

Azenta Life SciencesBurlington, MA
3d$109,000 - $136,000Onsite

About The Position

At Azenta, new ideas, new technologies and new ways of thinking are driving our future. Our customer-focused culture encourages employees to embrace innovation and challenge the status quo with novel thinking and collaborative work relationships. Azenta Life Sciences is a global leader in the life sciences space with headquarters in Burlington, MA, and offices and operations worldwide. We are a market leader in automated bio sample management solutions and genomic services across areas such as drug development, clinical and advanced cell therapies for the industry's top pharmaceutical, biotech, academic and healthcare institutions globally. We provide unparalleled capabilities with our lab analysis, sample management and storage services, informatics software, and consumables, with the largest installed base managing millions of samples globally. How You’ll Add Value… Azenta Inc. is looking for a Treasury Manager to join the team. This role is a key leader in the global finance team and will drive the day-to-day management of the treasury function for our US & foreign subsidiaries. The Treasury Manager will be responsible for all corporate treasury functions, including cash monitoring and forecasting, foreign exchange hedging, investment activities, treasury controls, insurance, banking administration and corporate credit card program. The Treasury Manager will report to the Vice President of Tax and Treasury and will be expected to collaborate with the finance and accounting teams all over the world as we drive consistent processes across all sites in the organization. The ideal candidate will have a solid foundation in the requisite treasury skills and be able to think and work outside their box in an effective manner.

Requirements

  • Bachelor’s degree in accounting, finance or related field is required.
  • 7+ years of experience in treasury management, cash operations, investment oversight, foreign exchange risk and insurance.
  • Experience working with internal and external auditors
  • Intermediate to advanced Excel skills are required.
  • Strong attention to detail and time management skills
  • Possess the ability to be a team player and work cross-functionally.

Nice To Haves

  • Experience with Kyriba Treasury Management System a plus

Responsibilities

  • Manage short-term and long-term cash flow forecasts to optimize return on cash and drive intercompany funding.
  • Manage foreign exchange exposures and ensure effective execution and reporting of derivative instruments.
  • Analyze consolidated interest income/expense and ensure it aligns with forecasted commitments.
  • Manage intercompany loans, ensuring proper documentation and compliance.
  • Manage the corporate insurance programs with policy renewals and cost analysis.
  • Manage Kyriba Treasury System to enhance reporting tools for improved automation, data accuracy and cash positioning.
  • Manage relationships with multiple banking and investment advisors.
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