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Treasury Manager

Job in Las Vegas, Clark County, Nevada, 89105, USA
Listing for: TensorWave
Full Time position
Listed on 2025-12-31
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below

Treasury Manager – Tensor Wave

At Tensor Wave, we’re leading the charge in AI compute, building a versatile cloud platform that’s driving the next generation of AI innovation. We’re focused on creating a foundation that empowers cutting‑edge advancements in intelligent computing, pushing the boundaries of what’s possible in the AI landscape.

About the Role

This critical role, reporting to the EVP of Finance, is responsible for owning the company’s liquidity strategy, debt management, treasury operations, and cash flow oversight, particularly for Special Purpose Vehicles (SPVs). The Treasury Manager will be key to supporting our capital‑intensive growth by ensuring robust liquidity, maintaining strict lender compliance, and optimizing the capital structure.

This manager will collaborate closely with FP&A, Accounting, Legal, Procurement, and Supply Chain to provide accurate, forward‑looking visibility into cash needs and manage large‑scale capital deployments.

This position is an excellent fit for a professional with a strong background in treasury, corporate banking, leveraged finance, credit analysis, or capital markets who is eager to build and drive the treasury function in a fast‑growing, complex operational environment.

Responsibilities
  • Liquidity Management, Investments, & Treasury Operations
  • Establish and execute a corporate investment framework to optimize yield on surplus cash, including defining policy guidelines, managing portfolio allocation, and monitoring counter party risk to ensure capital preservation.
  • Manage and forecast daily, weekly, and monthly cash positioning for corporate entities and SPVs.
  • Develop and maintain the 13‑week cash flow forecast and a comprehensive long‑term liquidity model.
  • Monitor cash requirements for capital projects, vendor payments, SPV obligations, and operational expenses.
  • Optimize working capital management, internal transfers, and cash movements.
  • Maintain strong internal controls over cash, banking access, approvals, and disbursements.
  • Debt Management & Lender Compliance
  • Manage and track detailed debt schedules, including interest, amortization, projected balances, and maturity timelines.
  • Track, forecast, and ensure ongoing compliance with all debt covenant ratios (leverage, liquidity, coverage).
  • Prepare and deliver accurate, timely monthly/quarterly covenant reporting packages for lenders.
  • Support strategic activities such as refinancing, securing new credit facilities, and lender engagement.
  • SPV & Entity Cash Flow Oversight
  • Manage and track SPV‑level transactions, including capital contributions, distributions, and interest payments.
  • Develop and maintain accurate SPV‑level cash flow models for scenario analysis and liquidity planning.
  • Collaborate with FP&A on SPV forecasting and with Accounting on entity‑level reporting and eliminations.
  • Relationship Management
  • Serve as a primary point of contact for external banks, lenders, and financing partners.
  • Manage banking portals, signatory updates, and necessary KYC/AML documentation.
  • Prepare detailed reporting for lenders and investors, responding promptly to information requests.
  • Support negotiations related to credit facilities, debt instruments, and treasury services.
  • Systems, Controls, & Process Improvement
  • Support Accounting during the month‑end close process, focusing on cash reconciliations and SPV entries.
  • Enhance treasury processes, standard operating procedures, and documentation.
  • Assist in the implementation or optimization of treasury tools, ERP integrations (Net Suite preferred), and liquidity dashboards.
  • Cross‑Functional Collaboration
  • Partner with FP&A on capital plans, debt modeling, and liquidity forecasting.
  • Work with Legal on SPV documentation, financing agreements, and bank compliance.
  • Collaborate with Procurement and Supply Chain to accurately forecast capital outflows related to equipment and contracts.
Essential

Skills & Qualifications
  • 4–7 years of experience in a relevant field: corporate treasury, investment banking, corporate banking, leveraged finance, credit analysis, or capital markets.
  • Proven expertise in capital structures, debt mechanics, covenants, and developing comprehensive liquidity plans.
  • Experience…
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