Treasurer
$375,000–$434,000 year
HybridNew York City, New York, United States
Job Summary
Architect a capital structure for a high-growth, pre-IPO company by leading equity raises, debt financing, and complex credit syndicates. Manage daily treasury operations including long-range cash forecasting, liquidity positioning, and banking relationship optimization. Execute capital markets transactions from diligence through close while enforcing treasury policies and SOX compliance. Partner with the CFO, Board, and investment banks to support IPO readiness, acquisition diligence, and transaction structuring. Report directly to the CFO on strategic financial decision-making and risk analysis.
Required Qualifications
- 15+ years of progressive corporate treasury, corporate finance, or investment banking experience
- at least 7+ years managing enterprise-wide treasury teams at a large-scale, high-growth business
- Proven track record leading multi-billion-dollar capital structures, including public or private market financings, asset-backed securitizations, complex credit syndicates, equipment leasing, and M&A integration financing
- Deep experience structuring financial controls, SOX compliance, institutional rating agency presentations, and board-level risk reporting for a publicly traded company or a late-stage tech/consumer platform
- Demonstrated expertise overseeing complex, multi-entity cash management networks, merchant acquiring/processing systems, working capital optimization, and supply chain/lease financing across physical real estate and digital channels
- Track record acting as a trusted advisor to the CFO, CEO, Board of Directors, and institutional investor base, translating complex capital allocation choices into strategic business roadmaps
- Bachelor's degree in Finance, Economics, Accounting or other related field
Desired Qualifications
- Public Readiness & Governance (IPO / Institutional Operations): Deep experience structuring financial controls, SOX compliance, institutional rating agency presentations, and board-level risk reporting for a publicly traded company or a late-stage tech/consumer platform
- Demonstrated expertise overseeing complex, multi-entity cash management networks, merchant acquiring/processing systems, working capital optimization, and supply chain/lease financing across physical real estate and digital channels
- Track record acting as a trusted advisor to the CFO, CEO, Board of Directors, and institutional investor base, translating complex capital allocation choices into strategic business roadmaps
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