Head of Global Treasury
Job in
Grapevine, Tarrant County, Texas, 76099, USA
Listed on 2025-12-01
Listing for:
AT&T Spring Mobile
Full Time
position Listed on 2025-12-01
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Manager, CFO, Financial Compliance -
Management
Financial Manager, CFO
Job Description & How to Apply Below
625 Westport Pkwy Grapevine, TX 76051time type:
Full time posted on:
Posted Yesterday job requisition :
Req-180612
At Game Stop, we are committed to providing exceptional service and delivering the latest and greatest in gaming products to our customers. As a leading global retailer of video games, electronics, and gaming merchandise, we take pride in offering a wide range of products that cater to the needs and desires of gamers worldwide. Our mission is to create unforgettable experiences for our customers by constantly pushing the boundaries of what's possible.
Whether you're a hardcore gamer or just starting out, we've got something for everyone. Join us in our mission to shape the future of gaming and bring the best gaming products to the world!
The Head of Global Treasury will report to the Principal Financial and Accounting Officer. This person will manage global treasury cash management operations, as well as assist in overseeing tax planning, compliance and reporting. This person will work with Accounting, Finance, Transaction Assurance, and Internal Audit for treasury operations company-wide.
This position will be onsite in Grapevine, TX 5 days per week.
** Overview:
*** Oversees enterprise-wide operational working capital settlement requirements
* Develops strategy for handling cash and liquidity needs
* Review investment opportunities and advise on opportunities in line with Investment Policy
* Ensures timely and accurate cash payments
* Review FX exposure and implement programs to reduce volatility and risk as needed
* Works in partnership with finance to ensure alignment with free cash flow results and forecasts
* Manages intercompany settlement process. Maintains appropriate cash balances in respective bank accounts globally while minimizing foreign currency exchange losses
* Acts as main liaison on all cash management matters to Accounting, Finance, and other departments and business units
* Liaise with SEC Reporting on footnotes and disclosures for Treasury investment and foreign exchange sections of the Company’s SEC filings
* Partner with IT to oversee company’s banking platform, ensure the setup meets SOX and applicable policy
* Leads ERP and treasury workstation initiatives
* Ensures adequate liquidity is available to fund working capital needs enterprise-wide
* Establishes cash management, payments, etc. policies governance
* Manages and maintains effective, transparent relationships with the company’s banking partners, including communicating expectations with financial institution service providers and coordinates relationship reviews
* Leads and ensures compliance with regulatory matters
* Optimizes bank account structures and services to minimize fees and ensure operational efficiency
* Works in partnership with IT, Loss Prevention team and Transaction Assurance team to ensure alignment with Credit Card payment processor requirements and objectives
* Develop and execute global tax strategy to optimize profitability while mitigating risk
* Oversee tax planning, direct and indirect compliance, tax provision and reporting (ASC 740)
* Ensure compliance with U.S. federal, state, local, and international tax regulations
* Develop and implement tax-efficient cash repatriation and transfer pricing strategies, including country-by-country reporting and documentation
* Provide guidance on M&A, restructurings, and other strategic transactions
* Manage relationships with tax authorities and oversee audits across federal, state, and international jurisdictions.
* Oversee business licensing team to ensure the company maintains good standing across jurisdictions
* Work closely with treasury to manage tax-efficient repatriation, cash flow, treasury management, intercompany funding, and financing
* Provide input on capital structure, liquidity planning, and debt/equity transactions
* Partner with FP&A and operational finance on forecasting, scenario modeling, and long-term planning
* Drive operational excellence, process improvements, and technology-enabled solutions within the PFO organization
* Serve as a trusted advisor to the PFO on tax,…
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