VP of Treasury & Risk Management

AccruePartners, Inc.

$175K — $210K *
Finance & Insurance
11 - 15 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or related field required.
  • MBA, CPA, CFA, CTP, or other advanced finance certification preferred.
  • 12+ years of progressive treasury, corporate finance, banking, or risk management experience.
  • 5+ years of executive-level leadership experience.
  • Demonstrated success managing liquidity, debt structures, cash forecasting, and capital markets activities.
  • Experience leading enterprise risk management and corporate insurance programs

Responsibilities

  • Develop and execute the treasury strategy, focusing on liquidity and capital allocation.
  • Manage daily cash positioning, forecasting, and liquidity to ensure operational funding.
  • Optimize working capital through effective management of cash, receivables, payables, and inventory funding.
  • Oversee banking relationships, negotiating terms and credit facilities.
  • Manage debt portfolios, including revolving credit facilities and covenants compliance.
  • Evaluate financing transactions, focusing on debt issuance and capital structure optimization.
  • Identify and mitigate various enterprise risks including operational and financial risks.

Benefits

  • Comprehensive enterprise risk management framework to enhance business resilience.
  • Opportunity to lead significant treasury initiatives impacting strategic growth.
  • Strong focus on optimizing liquidity and reducing borrowing costs for enhanced financial performance.
  • Engagement with executive leadership and the Board to provide valuable insights on risk management.
Full Job Description
Why This Role is Important
  • Develop and execute the company's treasury strategy, including liquidity, capital allocation, and financing initiatives.
  • Manage daily cash positioning, forecasting, and liquidity planning to ensure sufficient funding for operations and strategic growth.
  • Optimize working capital through effective management of cash, receivables, payables, and inventory-related funding requirements.
  • Oversee domestic and international banking relationships and negotiate banking services, fees, and credit facilities.
  • Manage debt portfolios, revolving credit facilities, letters of credit, and covenant compliance.
  • Evaluate and execute financing transactions, including debt issuance, refinancing, and capital structure optimization.
  • Lead short-term and long-range cash forecasting processes.
  • Establish treasury policies, controls, and governance to safeguard company assets.
  • Monitor and improve cash conversion cycle performance.
  • Identify opportunities to enhance liquidity, reduce borrowing costs, and maximize investment returns.
  • Develop and maintain a comprehensive enterprise risk management (ERM) framework.
  • Identify, assess, monitor, and mitigate strategic, financial, operational, regulatory, cybersecurity, and supply chain risks.
  • Lead risk assessments and establish risk tolerances and mitigation plans.
  • Provide regular risk reporting and insights to executive leadership and the Board.
  • Partner with brokers, insurers, and internal stakeholders to optimize coverage and manage total cost of risk.

Background That Fits
  • Bachelor's degree in Finance, Accounting, Economics, or related field required.
  • MBA, CPA, CFA, CTP, or other advanced finance certification preferred.
  • 12+ years of progressive treasury, corporate finance, banking, or risk management experience.
  • 5+ years of executive-level leadership experience.
  • Demonstrated success managing liquidity, debt structures, cash forecasting, and capital markets activities.
  • Experience leading enterprise risk management and corporate insurance programs

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