Role & Company Overview
📋 Role Overview & Responsibilities
OVERVIEWEagleView is hiring a Treasury Manager. Are you ready to advance your career in finance to the next level? We're searching for a strategic thinker to join our team. This role isn't just a job—it's an opportunity to drive financial strategy, optimize operations, and shape the future of our organization. This position is well suited to an experienced FP&A professional looking to add treasury-related skills and experience.
WHY JOIN US?Remote Flexibility: Work from anywhere! Enjoy the freedom to manage your work-life balance on your terms. Leadership Exposure: Rub elbows with key decision-makers and leaders within the organization. Your voice will be heard, and your ideas will drive real change. Variety and Learning: No two days are the same in this role. You'll tackle exciting challenges, lead strategic projects, and continuously expand your skill set. Autonomy: Take the reins on your work. We trust you to manage your tasks and projects independently, giving you the freedom to shine. WHY YOU'RE A FIT?You're a forward-thinker with a passion for financial insights. You thrive in dynamic environments and aren't afraid to challenge the status quo. Your track record of success speaks for itself—you're driven, detail-oriented, and committed to excellence. You embody our values of integrity, curiosity, and relentless pursuit of success.
- RESPONSIBILITIESTREASURYSpearhead short, medium, and long-term cash forecasts to guide investment strategies.
- Strategically manage vendor payments to optimize working capital.
- Own and enhance reporting of cash forecasts and cash flows, identifying insights and opportunities.
- Lead debt management, ensuring compliance and optimizing payments.
- Drive global banking relationships and system enhancements.
- Champion continuous process and technology improvements to boost efficiency.
- Support debt issuances and/or refinancings, enhancing the company’s capital structure.
- Manage credit rating agencies communications.
- Management of the lender call process including creating all materials and scripts and preparing senior manager for the quarterly calls.
- FINANCIAL PLANNING & ANALYSIS (FP&A)Influence critical decisions with the executive leadership team and across the organization by asking the right questions and solving complex problems.
- Develop and maintain financial models to support business planning and decision-making.
- Provide insightful analysis on financial performance, trends, and forecasts.
- Collaborate with cross-functional teams to optimize costs and drive profitability.
- Prepare pro forma analyses for critical new projects to understand potential ROI of investments to push for project through approval process.
REQUIREMENTSBachelor’s Degree in Finance, Accounting, Mathematics, or related field.3+ years of relevant experience in FP&A and Treasury. Proficiency in financial modeling and problem-solving. Demonstrated leadership in cross-functional projects. Excellent communication skills, both written and verbal. Strong attention to detail and ability to thrive in a fast-paced environment. You're a forward-thinker with a passion for financial insights. You thrive in dynamic environments and aren't afraid to challenge the status quo. Your track record of success speaks for itself—you're driven, detail-oriented, and committed to excellence. You embody our values of integrity, curiosity, and relentless pursuit of success. PERSONAL TRAITS & VALUESIntellectual HonestySystems ThinkingCreativityCuriosityStrong Work EthicCompetitive DriveRelentlessnessDetail OrientationIntegrity
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