Treasury Lead
Listed on 2026-02-06
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Finance & Banking
Corporate Finance, Risk Manager/Analyst, Financial Manager, Financial Analyst
Anduril Industries is a defense technology company with a mission to transform U.S. and allied military capabilities with advanced technology. By bringing the expertise, technology, and business model of the 21st century’s most innovative companies to the defense industry, Anduril is changing how military systems are designed, built and sold. Anduril’s family of systems is powered by Lattice OS, an AI-powered operating system that turns thousands of data streams into a realtime, 3D command and control center.
As the world enters an era of strategic competition, Anduril is committed to bringing cutting‑edge autonomy, AI, computer vision, sensor fusion, and networking technology to the military in months, not years.
We are seeking a highly motivated and analytical Corporate Treasury Lead with 4-6 years of progressive experience, including significant exposure to international treasury operations and experience with treasury management system / treasury workstation software. The ideal candidate will play a critical role in creating and building out the treasury infrastructure for managing our global cash, liquidity, foreign exchange (FX) risk, and banking relationships.
This hands‑on role requires a blend of operational execution, strategic thinking, and the ability to optimize global treasury processes. You will be instrumental in ensuring financial stability, maximizing returns on cash, and mitigating financial risks across our international footprint.
Global Cash & Liquidity Management:
- Manage and optimize daily global cash positions, ensuring sufficient liquidity across all legal entities.
- Develop, maintain, and enhance global cash flow forecasts (short‑term and long‑term), providing insightful variance analysis.
- Execute cash concentration (pooling/sweeping) strategies to optimize working capital and minimize idle cash balances internationally.
- Identify and implement strategies for efficient inter‑company funding and cash repatriation in compliance with local regulations.
Foreign Exchange (FX)
Risk Management:
- Monitor, measure, and analyze global FX exposures arising from international operations, intercompany transactions, and balance sheet positions.
- Execute FX hedging strategies (e.g., spot, forwards, options) in accordance with the company’s foreign exchange policy.
- Prepare and present regular FX exposure and hedging effectiveness reports to senior management.
- Stay abreast of global FX market trends and provide recommendations for strategy adjustments.
Banking Relationship Management:
- Support the management of global banking relationships, including account opening/closing, KYC documentation, and service fee negotiations.
- Optimize global bank account structures to enhance efficiency, reduce costs, and support business needs across various jurisdictions.
- Ensure compliance with bank covenants and reporting requirements.
Treasury Operations & Systems:
- Drive continuous improvement in treasury processes, leveraging technology to enhance efficiency and control.
- Implement, utilize, and optimize the Treasury Management System (TMS) (e.g., Kyriba, G‑Treasury, FIS Integrity, etc.) for cash management, forecasting, and risk management.
- Partner in global payment processes and ensure robust internal Treasury controls.
Debt & Investment Management:
- Support the monitoring and management of debt facilities, including covenant compliance and reporting.
- Coordinate short‑term investment strategies with internal and external partners in line with company policy, ensuring safety, liquidity, and yield.
- Assist in evaluating and executing new financing initiatives as needed.
Reporting & Analysis:
- Prepare comprehensive treasury reports for management, highlighting key metrics, risks, and performance against objectives.
- Conduct ad‑hoc financial analyses to support strategic decision‑making within the finance organization.
Compliance &
Risk Management:
- Ensure strict adherence to internal treasury policies, procedures, and financial controls.
- Support internal and external audit requests related to treasury activities.
- Assist in identifying and mitigating other financial risks, including interest rate and…
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