Treasury Manager
Listed on 2026-01-12
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Finance & Banking
Corporate Finance, Financial Manager -
Management
Financial Manager
At Ping Identity, we believe in making digital experiences both secure and seamless for all users, without compromise. We call this digital freedom. And it's not just something we provide our customers. It's something that inspires our company. People don't come here to join a culture that's built on digital freedom. They come to cultivate it.
Our intelligent, cloud identity platform lets people shop, work, bank, and interact wherever and however they want. Without friction. Without fear.
While protecting digital identities is at the core of our technology, protecting individual identities is at the core of our culture. We champion every identity. One of our core values, Respect Individuality, reminds us to celebrate differences so you are empowered to bring your authentic self to work.
We’re headquartered in Denver, Colorado and we have offices and employees around the globe. We serve the largest, most demanding enterprises worldwide, including more than half of the Fortune 100. At Ping Identity, we’re changing the way people and businesses think about cybersecurity, digital experiences, and identity and access management.
Role OverviewPing Identity is seeking an experienced Treasury Manager to lead our global treasury function. This high‑impact role is responsible for ensuring optimal liquidity, managing financial risks, overseeing banking relationships, and developing our capital structure strategy to support the company’s aggressive growth and financial stability.
Key Responsibilities- Oversee daily cash management activities for all domestic and international entities, ensuring adequate liquidity to meet all operational and strategic obligations.
- Lead the short‑term and long‑term cash flow forecasting process, including variance analysis, scenario planning, and continuous model refinement.
- Manage intercompany funding arrangements, optimizing working capital efficiency.
- Develop an investment policy and manage surplus funds to maximize returns while ensuring capital preservation.
- Align treasury activities with overall business objectives and long‑term financial strategies.
- Identify, assess, and manage financial risks, including in‑depth and frequent analysis of foreign exchange (FX) and interest rate exposures.
- Monitor key financial and liquidity ratios under financing facilities and be able to advise on the impact to covenant compliance.
- Assess hedging strategies (e.g., FX forwards, interest‑rate swaps) to mitigate corporate financial exposures and execute as applicable.
- Responsible for all banking administration. Oversee the opening, maintenance, and closing of bank accounts, ensuring proper authorizations and signatory rights; maintain an up‑to‑date bank account inventory and banking approval matrix.
- Manage and strengthen key relationships with domestic and international banks and financial institutions.
- Negotiate terms, fees, and services for banking facilities, credit lines, and other financial products.
- Support the development and execution of the company’s capital structure strategy, including analysis for, and leading the execution of any debt issuances, refinancings, and repayments.
- Collaborate with senior management, FP&A, Accounting, Tax, and Legal teams on day‑to‑day operations, strategic financial projects, M&A integrations, and funding decisions.
- Foster a culture of high performance, accountability, and continuous improvement.
- Develop, implement, and maintain robust Treasury policies, procedures, and internal controls to ensure compliance with SOX and other regulatory requirements.
- Drive Treasury system initiatives (e.g., TMS implementation/optimization, bank system integration) to enhance automation, reporting, and controls.
- Prepare and present regular, comprehensive treasury reports to senior leadership and as requested by the Board of Directors.
- Bachelor’s degree in Finance, Accounting, Economics, or a related field.
- 5+ years of progressive relevant experience in corporate treasury or financial management, with at least 3 years in a managerial or senior role.
- Demonstrated expertise in global cash management, liquidity planning, cash forecasting, and treasury management…
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