Group Treasury (Senior) Manager

Mighty Buildings · San Francisco, CA

Company

Mighty Buildings

Location

San Francisco, CA

Type

Full Time

Job Description

Mighty Buildings is a construction technology company with offices in Oakland, and Monterrey.
We are disrupting the construction industry by creating beautiful, sustainable, and high-quality homes using 3D printing, advanced materials, and robotics automation.
We’ve raised Series B funding and are backed by top investors like Khosla Ventures, Zeno Ventures, and Y-Combinator.

As Mighty Building’s (“MB”) Group Treasury Manager, you will take responsibility for:

  • Daily global cash position and liquidity analysis:  Prepare and distribute daily global cash position reports.  Provide updates on global liquidity
  • Weekly global payment processing: Prepare and process global payments on behalf of  each regional entity
  • Bank account maintenance: Perform global bank fee analysis and monitor banking activities
  • Global cash flow forecasting: Manage the company’s cash flow forecasting and optimization efforts, with the objective of improving forecast accuracy and predictive capabilities. Liaise with AP, AR and FP&A teams to obtain cash flow data.  Report out monthly cash flow variance analysis
  • FX Management: Prepare and report monthly on global FX exposures.  Execute FX transactions and settlement process
  • Management of intercompany funding process:  Closely work with tax, legal and accounting teams on inter-company loan documentation and intercompany settlements
  • Administration of Company’s credit card products: Monitor and report on global credit card activities
  • Internal Controls: Ensure that an appropriate level of governance exists in all activities related to treasury/payments; maintain policies and procedures related to treasury functions

Work Experience:

  • Minimum of 5 years of experience in Finance, of which at least 3 years in treasury and/or cash management in a multinational organization.
  • Minimum of 2 years experience in financial analysis, account analysis and reporting.
  • Strong understanding of cash management principles, banking services and treasury policies and procedures.
  • Strong analytical and communication skills.  Highly organized and detail oriented.  Strong focus on systems and process improvement. 
  • Proficiency with standard ERP systems, online banking portals, online payment platforms, Excel, and/or Google Sheets.  Knowledge of NetSuite preferred.
  • Comfortable balancing operational duties with longer-term projects and goals, and working under pressure in an often dynamic environment
  • Excellent communication, interpersonal and analytical skills.

Educational/Certification Requirement:

  • Bachelor’s degree in finance or related field required.
  • One of CTP, CPA, CFA, or MBA
  • The position requires to work closely with the Group Treasurer and should preferably be located at our office in Monterrey, Mexico, or at headquarters in the SF Bay Area.
Apply Now

Date Posted

09/14/2023

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