Sr. Manager, Treasury

Gong Gong · Enterprise · San Francisco, CA · FP&A

This role is for a Sr. Manager, Treasury at Gong, a company that uses AI to transform revenue teams. The role focuses on managing treasury operations, including liquidity, investment portfolio, and global risk management. It requires collaboration with various internal teams and external partners, and involves implementing treasury technology and automation. The position emphasizes daily execution and long-term scaling of treasury functions within a high-growth technology environment.

What you'd actually do

  1. Act as the primary lead for daily treasury operations, including cash positioning, liquidity management, and global bank account administration across all entities
  2. Define and own the liquidity framework, maintaining rolling 13-week cash flow forecasts and partnering with FP&A to align quarterly Free Cash Flow projections with corporate goals
  3. Partner with the VP to manage the company’s investment portfolio, assisting in the monitoring of manager performance and ensuring all activity remains aligned with the corporate Investment Policy and liquidity requirements
  4. Drive capital efficiency by ensuring adequate funding across global bank accounts and identifying opportunities to invest excess daily cashLead the design and implementation of FX risk management, including the evaluation and execution of hedging programs to manage P&L volatility
  5. Champion treasury technology and automation, identifying and implementing tools to replace manual workflows and improve reporting scalability

Skills

Required

  • 5-7+ years of experience in corporate treasury, with a proven track record in high-growth technology environments
  • Expertise in cash management and liquidity forecasting, with a strong command of financial modeling and the ability to operate independently with high data integrity
  • Strong analytical and financial modeling skills, with a proven ability to build complex, dynamic models in Excel to support liquidity, investment, and FX analysis
  • Solid understanding of investment products and the mechanics of managing a corporate portfolio and its direct impact on Free Cash Flow
  • Knowledge in FX risk management, including the execution of hedges and an understanding of currency impact on consolidated financial statements
  • Self-starter mindset with the ability to multitask and prioritize competing priorities in an ambiguous, fast-paced environment
  • Strong bias for action and execution, with the detail-orientation required to manage complex global banking and insurance workstreams
  • Excellent communication and stakeholder management skills, capable of presenting complex treasury topics to senior leaders and cross-functional partners with ease

Nice to have

  • Experience managing corporate insurance renewals and reviewing complex contract provisions is highly desirable
  • Master’s Degree or CTP designation a plus

What the JD emphasized

  • SOX-compliant protocols