Senior Treasury Manager

🕒 il y a 1 mois

🐊 Florida – Distant

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⏰ Temps Plein

🟠 Senior

👔 Manager

👻 Score fantôme 10%

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🗣️🇺🇸🇬🇧 Anglais requis

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Logo of Jacuzzi Group

Jacuzzi Group

1001 - 5000 employés

Fondée en 1956

🏭 Fabrication

🏗️ Construction

🏨 Hôtellerie

Manufacturing • Construction • Hospitality

Groupe Jacuzzi est une entreprise renommée pour son innovation et son leadership dans l'industrie du bien-être et de l'hydrothérapie. Ils offrent une large gamme de produits comprenant des spas, des spas de nage, des saunas et divers équipements de salle de bain. Leurs produits sont conçus pour apporter des bénéfices santé tels que l'hydrothérapie pour soulager le stress et favoriser la récupération après un exercice. Connu pour ses expériences de nage haute performance et ses collaborations avec des athlètes, Jacuzzi continue d'innover avec des technologies comme le système SmartTub® pour un fonctionnement économe en énergie et l'intégration de la thérapie par lumière infrarouge et rouge dans leurs offres.

Description

• Manage daily domestic and international cash positioning, funding, and pooling activities across the company's bank accounts and entities • Own and continuously improve the 13-week and long-range cash flow forecasting process, partnering with FP&A and business unit finance teams to improve forecast accuracy • Administer bank account structure, signatory authority, KYC/documentation requirements, and treasury workstation/TMS operations • Monitor compliance with credit agreement covenants and prepare related compliance certificates and lender reporting • Support debt administration, including borrowings/repayments under the revolving credit facility, interest calculations, and coordination with agent banks • Prepare board- and sponsor-level liquidity, debt, and covenant reporting packages • Maintain and strengthen relationships with relationship banks, lenders, and other financial counterparties • Manage foreign exchange exposure, including hedging execution and reporting in coordination with the FX risk management policy • Assist with insurance program renewals, surety/bonding, and cash-related internal controls (SOX/PE audit readiness) • Support capital structure initiatives, including refinancings, add-on acquisitions, and integration of acquired entities' treasury operations • Partner cross-functionally with Accounting, FP&A, Tax, and Legal on cash repatriation, intercompany funding, and working capital initiatives

🎯 Exigences

• 7+ years of progressive treasury or corporate finance experience, including direct exposure to debt compliance, cash forecasting, and bank relationship management • Working knowledge of credit agreements, covenant compliance, and lender/agent bank interaction • Bachelor's degree in Finance, Accounting, Economics, or a related field • Experience with treasury management systems (e.g., Kyriba, GTreasury, or similar) and strong Excel/financial modeling skills • Strong written and verbal communication skills • Demonstrated ability to manage competing priorities with strong attention to detail • Experience in a private equity-backed, high-growth, or global manufacturing environment • Certified Treasury Professional (CTP) certification, or progress toward it • MBA or other advanced degree in finance • Multi-currency/international treasury experience

🏖️ Avantages

• Annual performance-based bonus program eligibility • Medical, dental, and vision insurance • Health Savings Account (HSA) and Flexible Spending Account (FSA) options • 401(k) with company matching program • Life and disability insurance • Paid time off and company holidays

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🗣️🇺🇸🇬🇧 Anglais requis