Full Job Description
YETI is seeking a highly motivated and strategic Treasury & Risk Manager to join our Finance organization at our Austin, TX headquarters. This role will sit at the intersection of Treasury, Risk Management, and Financial Strategy, playing a critical role in safeguarding YETI's financial position through treasury and risk management practices. The position offers the opportunity to build and enhance treasury and risk frameworks in a dynamic, global consumer brand environment.
The ideal candidate will bring a strong foundation in cash management, financial risk mitigation, banking relationships, cash flow hedging and corporate insurance programs, along with a proactive mindset focused on process improvement, scalability, and disciplined risk management.
Key Responsibilities:
Treasury Management & Liquidity
• Manage daily cash positioning, forecasting, and liquidity planning across global operations
• Develop and maintain short- and long-term cash flow forecasts
• Optimize working capital and cash conversion cycles
• Oversee global cash movement, intercompany funding, and cash pooling strategies
• Monitor compliance with debt covenants and maintain appropriate liquidity buffers
• Implement cash flow hedging
Banking & Capital Structure
• Manage relationships with banking partners and financial institutions
• Oversee credit facility administration, including borrowings and compliance reporting
• Support development and execution of capital structure planning and financing strategies
• Evaluate opportunities to optimize cost of capital and liquidity
Financial Risk Management
• Identify, assess, and mitigate key financial risks, including liquidity risk, foreign exchange (FX) risk, and interest rate risk
• Support development and execution of hedging strategies where appropriate
• Maintain and enhance treasury and risk management policies
Insurance Risk Management
• Oversee the strategic management of the commercial insurance program (other than employee benefits) and lead the annual renewal process
• Manage relationship with external insurance broker, set performance expectations and drive accountability
• Evaluate program structure (limits, deductibles, retentions) to balance risk retention and cost efficiency
• Oversee claims management process, including coordination, tracking and resolution.
• Partner with legal and procurement to review contractual insurance requirements and risk transfer provisions
• Support insurance-related disclosures, audits, and compliance requirements
• Prepare and manage the annual insurance and claims budgets
Qualifications and Attributes:
• Bachelor's degree in Finance, Accounting, Risk Management, or related field.
• Master's degree and/or Certified Treasury Professional (CTP) preferred
• 8+ years of experience in relevant roles building transferable skills
• Background in consumer products, retail, or manufacturing environments strongly preferred
• Experience managing multi-line commercial insurance programs
• Demonstrated experience executing and accounting for FX hedging strategies (e.g., forwards, options)
• Ability to operate effectively in a fast-paced, high-growth environment with competing priorities
• SAP experience preferred. Major ERP system experience required, including experience working in a multi-national enterprise.
• Understanding and experience with SOX internal control requirements
• Excellent communication and stakeholder management skills
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Benefits & Perks:
Click here to learn about the benefits and perks we offer at YETI.