VP, Treasury Operations

SalesforceSan Francisco, CA

About The Position

The Vice President (VP) of Treasury Operations leads the strategic direction and day-to-day execution of the company’s worldwide treasury functions, specializing in cash management, payments, and financial risk mitigation. This role is crucial for delivering operational excellence, modernizing infrastructure, and establishing world-class controls to support global growth. This leader will manage a team and report to the EVP & Head of Treasury.

Requirements

  • 15+ years of progressive treasury experience, with at least 5 years in a senior leadership role
  • Global experience managing treasury operations across multiple countries, currencies, and legal entities
  • Deep expertise in middle office and back office treasury operations, including cash positioning, settlements, wire processing, and payroll funding
  • Proven track record of leading treasury transformation initiatives, including TMS implementations and process automation
  • Strong knowledge of FX hedging, capital markets, and risk management
  • Proven ability to build, lead, and develop high-performing global treasury teams
  • Excellent communication and executive presence; ability to present to Board-level audiences
  • Familiarity with treasury management systems and ERP integrations

Responsibilities

  • Define and drive the global operating model for all treasury activities, ensuring consistent application of policies, controls, and practices across all regions, legal entities, and currencies
  • Serve as the primary treasury partner to regional finance leaders, country controllers, and cross-functional partners in FP&A, Accounting, Tax, and Legal
  • Assess current-state treasury operations and drive end-to-end transformation initiatives, including process modernization, automation, and scalable control frameworks
  • Own the strategy, implementation, and ongoing optimization of treasury management systems and banking platforms, ensuring integration with ERP and accounting systems
  • Oversee daily global cash positioning, intercompany funding, and short- and long-term cash flow forecasting across all entities and accounts
  • Manage cross-border payments, foreign currency settlements, and payroll funding across all geographies, optimizing payment workflows and banking structures to reduce cost and operational risk
  • Oversee all middle office functions including trade confirmation, reconciliation, settlement tracking, and FX exposure reporting
  • Manage back office operations including wire processing, payment execution, and cash settlements, maintaining robust internal controls and segregation of duties
  • Manage the company's short-term investment portfolio in alignment with board-approved investment policy, balancing risk and return
  • Manage global banking relationships, credit facilities, and capital market transactions, including debt financing and covenant compliance
  • Ensure full compliance with internal controls, SOX requirements, and applicable regulatory frameworks across all treasury activities
  • Present treasury strategy, risk exposure, and performance metrics to executive leadership and the Board
  • Build, lead, and develop a high-performing global treasury team, fostering a culture of excellence, accountability, and continuous improvement

Benefits

  • time off programs
  • medical
  • dental
  • vision
  • mental health support
  • paid parental leave
  • life and disability insurance
  • 401(k)
  • employee stock purchasing program
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