Treasury Manager
Job in
Northern, Floyd County, Kentucky, USA
Listed on 2026-09-12
Listing for:
SailPoint Technologies Holdings, Inc.
Full Time
position Listed on 2026-09-12
Job specializations:
-
Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Compliance
Job Description & How to Apply Below
SailPoint is seeking a self-motivated Treasury Manager with an entrepreneurial spirit to thrive in a fast-paced, evolving environment. This individual will have the opportunity to own treasury responsibilities and build best practices for reporting, liquidity, risk, and investment management. This role will report to the Global Head of Tax and work closely with senior leaders across finance, accounting, and tax.
Responsibilities- Reporting and Analysis:
Prepare regular reports with KPIs, including cash summaries, liquidity metrics, risk & investment performance, banking fees, risk exposures - Develop and maintain free cash flow models to forecast future cash flows, incorporating detailed scenario analyses and sensitivity testing for senior leadership
- Employ strategies to identify, analyze, and mitigate FX exposure across global operations, implement hedging strategies (if applicable)
- Collaborate with FP&A, accounting and other internal stakeholders to ensure efficient and accurate cash flow management
- Cash and Liquidity Management:
Manage daily cash activities including cash reconciliation and bank reconciliations - Manage surplus cash and short-term investment portfolios to maximize returns while maintaining liquidity
- Execute transfer of funds between domestic and international bank accounts, including inter-company settlements, as required
- Banking and Financial Relationships:
Manage worldwide banking and financial institution relationships - Ensure streamlined compliance process with KYC and AML requirements
- Perform bank account administrative tasks, including opening, closures, signatory updates
- Oversee debt and credit facility management: monitor covenant compliance, support drawdown/repayment, liaise with lenders and rating agencies as required
- Technology and Process Optimization:
Scope, implement, and optimize treasury management system tools - Collaborate with IT to implement automation tools and enhance system integrations
- Continuously identify and implement process improvements to increase efficiency and accuracy
- Compliance and Ad-hoc responsibilities:
Develop and maintain treasury policies, internal controls and documentation in compliance with SOX, internal audit, regulatory and external reporting requirements - Serve as contact for risk management and own corporate insurance renewals and address insurance inquiries
- Support management with various projects as needed
- Bachelor's or Master's Degree or 8+ years of progressive treasury, corporate finance or banking experience, ideally within a large, multinational or publicly-traded company; significant exposure to global operations
- Experience building and managing treasury teams
- Solid understanding of FX, interest-rate risk management, and hedging techniques (or exposure to those)
- Strong knowledge of cash management, liquidity forecasting, banking operations, and treasury systems
- Certified Treasury Professional
- Experience implementing and utilizing Treasury Management Systems
- Experience in fast-paced growth companies
1-Month Milestones
- Gain a comprehensive understanding of SailPoint’s current Treasury operations, including existing systems, policies, and payment workflows.
- Familiarize with the ongoing Trovata Treasury Management System (TMS) contract status and initial implementation plans.
- Meet key internal stakeholders across finance, accounting, and IT, as well as external banking partners to understand existing relationships.
- Begin auditing existing cash management processes to identify initial areas for operational efficiency improvements.
2-Month Milestones
- Solidify working relationships with internal teams and external financial institutions.
- Independently perform routine daily…
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