As the Treasurer, you’ll lead Grant Thornton's treasury organization, ensuring the company has the financial resources needed to execute day-to-day global Treasury operations and long-term strategic financial goals. You’ll collaborate with the CFO, Investors, and senior leadership to ensure daily liquidity, effective working capital management, and appropriate financial risk management and mitigation strategies are in place. From day one, you’ll be empowered by the resources, environment, and support to help you excel and achieve more, confidently.
Your day-to-day may include:
Oversee the company's global liquidity and cash management operations to ensure adequate funding for business activities, manage working capital fluctuations, and capitalize on strategic opportunities. Develop and implement comprehensive financial risk management strategies, including foreign exchange and interest rate risk mitigation. Direct capital markets activities, including investment management and foreign exchange hedging, ensuring compliance with financial reporting standards. Lead and mentor a high-performing treasury team, fostering a culture of continuous improvement and professional development. Collaborate with senior leadership across the firm to identify and implement operational efficiencies, cost-saving opportunities, and risk management improvements. Provide strategic guidance and support to the CFO and other key stakeholders on treasury-related matters. Manage relationships with banking and financial institutions, negotiating fees, monitoring service quality, and implementing innovative financial technologies to streamline operations and improve cash flow. Oversee the integration of treasury operations with acquisitions and strategic business development initiatives. Prepare and deliver clear, insightful financial presentations for various audiences, including internal teams, external partners, senior management, and the Board of Directors. Support ongoing financial reporting of treasury activities and manage quarterly debt compliance and reporting requirements. Maintain robust internal controls, policies, and procedures to ensure strong treasury governance and compliance with regulatory standards. Working at a client site, with your team in the office, or remotely. We empower teams to listen first to the expectations of clients and teammates; then you and your team can determine when and where to work. No matter when or where, you will have the support you need to thrive. Other duties as assigned.
You have the following technical skills and qualifications:
Bachelor’s degree in Finance, Accounting, or Economics; MBA strongly preferred. A minimum of 12 plus years of related work experience in a similar consulting practice or function servicing clients at a national level. In-depth knowledge of treasury processes and the ability to work closely with the overall finance team to implement strategic visions. Proven experience managing teams in a global environment, particularly within private equity-owned companies. Proficiency with financial systems. Have excellent verbal and written communication skills. Ability to travel as needed.
The base salary range for this position in New York City only is between $283,500 and 472,500.
The base salary range for this position in Illinois only is between $262,500 and $437,500.
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