Treasury Manager

Saronic · Defense · Austin, TX · Finance & Accounting

Saronic is seeking a Treasury Manager to build and lead their treasury function, focusing on cash management, liquidity planning, FX risk management, and banking infrastructure to support global growth.

What you'd actually do

  1. Build the end-to-end treasury function—develop policies, controls, reporting, and infrastructure.
  2. Design and manage global cash flow forecasting and funding models.
  3. Establish and manage global banking relationships; open accounts and negotiate services as we expand into new markets.
  4. Identify and manage foreign exchange exposure as we operate in multiple currencies.
  5. Partner with Accounting, FP&A, Legal, and Tax to support treasury-relevant activities, including international compliance, capital planning, and audits.

Skills

Required

  • Bachelor’s degree in Finance, Economics, Accounting, or related field
  • 6–10 years of treasury or corporate finance experience
  • Experience standing up treasury functions in scaling or multinational environments
  • Strong understanding of FX, international banking, global cash management, and working capital optimization
  • Proficiency with Excel, ERP systems (e.g., NetSuite, SAP), and/or treasury platforms (e.g., Kyriba, TIS)
  • Advanced communication and leadership skills
  • Demonstrated ability to manage multiple stakeholders and deliver under fast-paced, growth-oriented conditions

Nice to have

  • MBA, CFA, or CTP preferred

What the JD emphasized

  • establish and lead our treasury function from the ground up
  • design and implement scalable global treasury operations
  • Define treasury KPIs, dashboards, and reporting cadence for executive visibility
  • Develop governance frameworks ensuring compliance with internal controls and SOX standards
  • Ensure strong treasury controls, segregation of duties, and compliance with both local and global standards