Treasury Manager

Workday Workday · Enterprise · Pleasanton, CA

Workday is seeking a Treasury Manager to join their Corporate Treasury team. This role focuses on Investment Management and Cash Flow Forecasting, ensuring liquidity and maximizing returns. Responsibilities include portfolio oversight, strategy development, performance monitoring, forecasting, and compliance.

What you'd actually do

  1. Manage the corporate cash investment portfolio, including the oversight of in-house holdings and external investment managers.
  2. Review, evaluate, and recommend investment strategies or Investment Policy updates to adapt to market volatility or business expansion.
  3. Support and refine the global rolling cash flow forecast, integrating data from FP&A, Tax, Payroll, and AP/AR to project liquidity needs accurately.
  4. Lead regular "forecast vs. actual" analysis to identify trends, improve model accuracy, and provide executive summary on liquidity shifts.
  5. Ensure investment-related SOX controls and investment policy compliance.

Skills

Required

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of experience in Corporate Treasury
  • Investment portfolio management
  • Complex cash flow modeling
  • Advanced financial modeling skills
  • MS Excel proficiency
  • Treasury Management Systems (TMS) or ERP experience

Nice to have

  • Workday experience
  • CTP (Certified Treasury Professional) or CFA candidate

What the JD emphasized

  • 5+ years of experience in Corporate Treasury, with a proven track record in both investment portfolio management and complex cash flow modeling.