SAIC

Treasury Senior Manager

SAIC$135K — $160K *
Finance & Insurance
11 - 15 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's in Accounting or Finance; Master's preferred
  • 15+ years in corporate treasury, finance, accounting, or capital markets
  • Experience in cross-functional collaboration across various finance domains
  • Advanced Excel skills for financial modeling
  • Expertise in cash management and working capital optimization
  • Experience coordinating financing transactions
  • Strong communication skills for non-technical audiences
  • Must be U.S. Citizen

Responsibilities

  • Oversee cash positioning, forecasting, and liquidity planning
  • Maintain cash flow forecasts with variance analysis for leadership
  • Manage key treasury operations including cash settlements
  • Prepare internal updates on capital structure for leadership
  • Assist with relationships with banks, lenders, and rating agencies
  • Evaluate and recommend corporate financing structures
  • Monitor market conditions for financing advice
  • Support GAAP and SEC reporting including 10-Q and 10-K disclosures

Benefits

  • 100% remote work opportunity for the right candidate
  • Collaborative work environment with cross-functional teams
  • Hands-on involvement in strategic financial operations
  • Visibility and influence in high-level financial decision-making
  • Professional development opportunities through mentorship
Full Job Description
Job Description

SAIC is seeking an experienced Senior Treasury Manager to lead critical treasury operations, cash flow forecasting, bank relationship management, financial risk analytics, and corporate financing transactions. This highly visible role combines hands-on liquidity & cash flow management with strategic responsibilities in capital structure and financing execution. You will work closely with the Treasurer, various internal stakeholders, and banking partners to strengthen SAIC's financial resilience and support long-term growth. This opportunity can be worked 100% remotely for the right candidate.

What You Will Do

Treasury Operations; Working Capital & Liquidity Management
  • Oversee cash positioning, forecasting, and liquidity planning
  • Maintain short- and long-term cash flow forecasts incorporating inputs from FP&A, Tax, Accounting, and Financial Shared Services; conduct variance analysis and deliver insights to senior leadership
  • Oversee key treasury operations including cash settlements & bank administration
  • Manage AR Sale Facility activities including journal entry preparation and cash receipts reconciliation

Capital Markets & Financing Execution
  • Prepare internal leadership updates on capital structure and capital deployment activities including BoD presentations
  • Assist with bank, lender, and rating agency relationship management
  • Evaluate capital structure alternatives and provide recommendations on corporate financing transactions including term loans and bonds
  • Track share repurchase program activities; perform valuation analysis and provide recommendations on share repurchase program structure
  • Monitor market conditions, rates, spreads, and peer activity to advise on financing windows
  • Controls, Compliance & Governance
  • Support GAAP and SEC reporting, including 10 Q and 10 K disclosures
  • Manage SOX-aligned internal controls, SOC 1 reviews, audit requests, and segregation of duties assessments
  • Coordinate quarterly debt compliance certifications, covenant monitoring,

Cross-Functional Leadership
  • Provide technical guidance and day to day support & mentorship to Treasury team members
  • Collaborate closely with Accounting, FP&A, Tax, Legal, Financial Shared Services, and external banking partners to ensure timely execution of treasury activities
  • Support special projects and strategic initiatives as assigned


Qualifications

  • Bachelor's degree in Accounting or Finance required and 18 years of experience. Master's degree and 16 years.
  • 15+ years of progressive experience in corporate treasury, finance, accounting, or capital markets
  • Demonstrated ability to collaborate effectively across Finance, Accounting, FP&A, Tax, Legal, and external partners
  • Advanced Excel financial modeling skills with proven ability building quantitative financial models (cash-flow forecasting, DCF, sensitivity analysis)
  • Strong expertise in cash management & working capital optimization
  • Proven ability to coordinate financing transactions and negotiations across multiple stakeholders
  • Exceptional communication skills with the ability to present complex concepts clearly to non-technical audiences
  • Candidates must be U.S. Citizens


About SAIC

Science Applications International Corporation (SAIC) is a technology integrator in the technical, engineering, intelligence, and enterprise information technology markets. SAIC has approximately 26,000 employees and operates in more than 70 countries. The company was founded in 1969 and is headquartered in Reston, Virginia. SAIC provides services to the U.S. government, including the Department of Defense, the intelligence community, and civilian agencies. The company also serves commercial customers in the healthcare, energy, and financial services sectors.
Learn more about SAIC
Size
26,000 employees
Market Cap
$6 billion
Industry
Net Income
$206 million
Founded
1969
5 Year Trend
+10.7%
Revenue
$6.8 billion
NASDAQ

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