Fp&a Manager, Treasury

Salesforce Salesforce · Enterprise · San Francisco, CA

Salesforce is seeking an FP&A Manager, Treasury to drive core corporate finance functions including cash forecasting, liquidity management, and strategic financial planning. The role involves building sophisticated forecasting models, exploring capital market activities, and championing continuous innovation by leveraging AI agents to automate workflows and evolve treasury operations into a highly scalable, AI-augmented function.

What you'd actually do

  1. Lead the monthly consolidation and analysis of divisional cash flow forecasts to build a comprehensive corporate cash position.
  2. Reconcile monthly cash flows against global positions and develop next-generation balance sheet and liquidity models.
  3. Drive process scalability by automating data reporting within the Global Treasury Management System (TMS) and integrating AI agents for predictive accuracy.
  4. Partner with FP&A to develop long-range financial plans, assessing capital structure requirements for M&A, CAPEX, and shareholder return initiatives.
  5. Collaborate with Accounting, Tax, Investor Relations, and divisional finance leads to ensure alignment on global cash movement.

Skills

Required

  • Bachelor’s degree in Finance, Accounting, or Economics
  • 5–7 years of progressive experience in Corporate Treasury or Finance
  • Advanced proficiency in financial statement analysis
  • Mastery of Excel for complex financial modeling
  • Experience with Treasury Management Systems (TMS)
  • Strong interest in AI/automation tools like Agentforce
  • Proven ability to distill complex financial data into clear, persuasive narratives for executive leadership

Nice to have

  • CPA/CTP/CFA preferred

What the JD emphasized

  • AI agents for predictive accuracy
  • AI-augmented function