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Aston Carter

$133K — $180K *
Pharmaceuticals & Biotech
8 - 10 years of experience
Job Overview by Ladders

Qualifications

  • 10+ years of experience in corporate treasury, finance, or accounting with investment management expertise
  • 3 years in a publicly traded mid to large cap company
  • Bachelor's Degree in accounting and finance
  • 5+ years in a pharmaceutical, biotechnology, or life sciences company managing cash and investments
  • 1+ years in a supervisory or mentoring role
  • Strong knowledge of SOX compliance and internal control design
  • Familiarity with Power BI, Tableau, SQL, or Python
  • Experience in international treasury matters and multi-currency cash management

Responsibilities

  • Oversee global cash positioning and liquidity planning to ensure operational continuity
  • Approve disbursements and support cash position reporting
  • Support treasury operations including bank account administration and data integrity
  • Monitor investment strategies focusing on principal protection and liquidity
  • Perform quantitative analysis of portfolio metrics and develop recommendations
  • Maintain cash flow forecasts and conduct variance analysis
  • Collaborate with cross-functional teams for fair value assessments and GAAP reporting
  • Develop liquidity stress testing models and contingency funding plans

Benefits

  • Comprehensive medical, dental, vision, and prescription coverage
  • Employee wellness resources
  • 401k and employee stock purchase plans (ESPP)
  • Paid time off and parental leave benefits
  • Disability benefits
Full Job Description
Senior Treasury Operations Manager

Job Description
The Senior Treasury Operations Manager serves as a subject-matter expert and strategic resource within the Treasury function. This role combines deep hands-on ownership of treasury operations with high-impact analytical and modeling responsibilities - including investment portfolio analytics, financial risk management, working capital analytics, and treasury performance reporting. The Senior Treasury Operations Manager brings wide-ranging expertise in treasury, accounting, and quantitative finance, working independently to resolve complex, non-precedented problems with minimal supervision. This role serves as the 'go-to' expert within the Treasury function, influences strategy, and leads initiatives that advance Treasury from a primarily operational function to a strategic finance partner. The role requires an exceptional ability to build, own, and continuously improve quantitative models, interpret complex data sets, and communicate actionable insights to Senior leadership.
Responsibilities
  • Oversee global cash positioning, forecasting, and liquidity planning across the Company and all domestic and international subsidiaries, supporting operational continuity, accuracy, and control integrity.
  • Serve as secondary approver for disbursements, including foreign currency payments, and support the bi 6monthly disbursement process through preparation of cash position reports, SAP payment summaries, expenditure analysis, and related memoranda.
  • Support treasury operations as needed, including cash settlements, bank account administration for domestic and international accounts, signatory maintenance, FBAR reporting, and treasury system administration activities to ensure data integrity across integrated platforms.
  • Monitor short 1term investment strategies across external managers and deposit accounts with a focus on principal protection, liquidity, and yield within established investment policy guidelines.
  • Perform quantitative analysis of portfolio yield, duration, credit quality, and counterparty exposure, and develop recommendations for repositioning and for investment policy enhancements within approved parameters.
  • Prepare and maintain monthly and quarterly investment control reports, including NAV validation, fair market value reconciliation to Refinitiv or FACTSET, impairment assessments, and 1940 Act compliance calculations.
  • Maintain short 1 and long 1term cash flow forecasts incorporating inputs from FP&A, Tax, Accounting, and other teams, and perform variance analysis comparing forecasted results to actual outcomes for distribution to Senior leadership.
  • Partner with FP&A and Accounting to support fair value assessment, classification, and disclosure of investments for GAAP and SEC reporting, including 10 1Q and 10 1K tie 1outs and footnote support.
  • Ensure strong internal controls aligned with SOX requirements; coordinate SOC 1 report reviews, segregation of duties assessments, and internal and external audit support.
  • Coordinate quarterly debt compliance certification activities, share 1based program support, and monitoring of revolving credit facility covenant calculations.
  • Support financial risk management activities related to interest rate sensitivity, counterparty/credit risk exposure, and liquidity risk through data analysis, monitoring, and reporting to Senior leadership.
  • Develop and maintain liquidity stress 1testing models and contingency funding plans, including defined escalation protocols and liquidity backstops; deliver scenario analyses to inform investment policy updates, debt structure decisions, and capital return programs.
  • Provide technical guidance and day 1to 1day support to Treasury team members and assist with responses to external auditor and audit 1related requests.
  • Collaborate closely with Accounting, FP&A, Tax, Legal, and other teams and support relationships with banking partners, investment managers, and auditors to ensure timely execution of treasury activities.
  • Perform other special projects and duties as assigned.

Essential Skills
  • 10+ years of relevant and progressive experience in corporate treasury, finance, and/or accounting, including direct ownership of investment management, financial risk management, or treasury analytics functions.
  • 3 years of experience directly worked at a publicly traded company - mid to large cap.
  • Bachelor's Degree in accounting and finance.
  • 5+ years of experience in a publicly traded pharmaceutical, biotechnology, or life sciences company with significant excess cash and investment portfolio management responsibilities.
  • 1+ years of prior experience providing supervisory oversight or mentoring to others.
  • Strong knowledge of SOX compliance, internal control design, and audit requirements in a large publicly traded company.
  • Experience with Power BI, Tableau, SQL, or Python.
  • Prior experience in international treasury matters including FBAR, multi-currency cash management, and cross-border payments.
  • Deep working knowledge of SAP or comparable ERP system in a treasury context; experience with Clearwater Analytics or similar investment reporting platforms.

Additional Skills & Qualifications
  • Master's Degree in accounting or finance.
  • Certified Treasury Professional (CTP)-AFP.
  • Certified Public Accountant (CPA).
  • Certified Financial Analyst.
  • Experience with SEC treasury disclosures including 10-Q/K cash, investment, and debt footnotes.

Work Environment
This hybrid role is located in Silver Spring, MD and requires reporting to the office at least three days a week, with flexibility on other days. Office hours are typically from 8 AM to 5 PM, but flexibility is expected to meet work demands.
Job Type & Location
This is a Permanent position based out of Silver Spring, MD.
Pay and Benefits
The pay range for this position is $133000.00 - $180000.00/yr.
Individual compensation offered for this position within this range will depend on many factors, including qualifications, skills, relevant experience, job knowledge, geographic location, internal equity, and other pertinent job-related factors.
Eligible employees may participate in the Company's comprehensive benefits suite of programs, including medical / dental / vision / prescription coverage, employee wellness resources, savings plans (401k and ESPP), paid time off & paid parental leave benefits, disability benefits, and more.
Workplace Type
This is a hybrid position in Silver Spring,MD.
Application Deadline
This position is anticipated to close on Sep 25, 2026.

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