Director of Treasury
Listed on 2026-08-21
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Finance & Banking
Financial Compliance, Risk Manager/Analyst, Corporate Finance, Banking & Finance
If you are looking for an opportunity to apply deep treasury expertise within a fast-growing global technology company, work directly with executive leadership, and help build Sycomp's global treasury function, we would welcome the opportunity to speak with you.
Build a Global Treasury Function at Scale
Sycomp is a fast-growing, global technology solutions provider serving many of the world's largest enterprises across 40+ countries.
We are seeking a Director of Treasury to lead the continued development, scaling, and operation of Sycomp's global treasury capabilities, building on an established foundation that already supports operations across the Americas, EMEA, and APAC. This role will be employed through Sycomp International Finance Ltd. in the United Kingdom and will serve as a key treasury leader for Sycomp's global business.
This position combines strategic leadership with hands‑on execution, with direct visibility to executive leadership and influence over foreign exchange risk management, intercompany funding, global liquidity, banking relationships, treasury technology, financing strategy, and treasury operations.
If you are energized by solving global treasury challenges, building scalable processes, working across cultures and time zones, and creating measurable business impact, we invite you to join us.
About Sycomp
Sycomp is a global IT services and logistics provider with extensive expertise in cloud, data center, endpoint management and security solutions. Sycomp’s diverse team of consultants and engineers deliver on the company’s mission to tackle challenging global IT projects through its state‑of‑the‑art integration and warehouse centers and global technology partnerships. Headquartered in the heart of Silicon Valley, California, Sycomp has successfully shipped, deployed and managed complex IT projects and supporting assets in more than 150 countries helping its Fortune 500 customers and global partners realize a world without boundaries.
Bring your expertise. Build something meaningful. Make a global impact.
- Lead FX risk management and hedging strategy across a multi‑currency environment
- Direct visibility and partnership with the CFO and executive leadership
- Lead global liquidity, cash management, and working capital optimization
- Own intercompany funding, in‑house bank operations, and global cash mobility
- Lead TMS implementation and treasury automation initiatives
- Manage banking relationships, ABL revolver reporting, covenant compliance, and financing strategy
- Operate in a true global role supporting business activity around the clock across multiple time zones
Candidate Profile
- Deep treasury expertise in a multi‑entity, international environment
- Experience with liquidity, FX, debt facilities, banking relationships, and treasury controls
- Strong leadership, analytical, and problem‑solving capabilities
- Ability to influence and work cross‑functionally across Finance, Tax, Accounting, Operations, and Sales
- Passion for building scalable processes and improving how treasury supports a growing business
Why This Role Matters
This is an opportunity to build, influence, and create lasting impact in a rapidly growing global organization where treasury is a strategic function.
Key Responsibilities:
- Global Treasury Operations and Liquidity Management
- Intercompany Settlement and Inhouse Bank Governance
- Treasury Management System Implementation and Automation
- Financial Risk Management and FX Hedging
- Working capital solutions (Supply chain finance, ABL, factoring)
Qualifications:
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field required; MBA, CPA, CFA, CTP, or other relevant treasury, finance, or accounting credential preferred.
- Minimum of 8 to 10 years of progressive treasury, corporate finance, banking, capital markets, or related finance experience, including demonstrated responsibility for global cash management, liquidity planning, debt facilities, and financial risk management.
- Experience managing treasury operations in a multi‑entity, multi‑currency, global business environment, including cash positioning, cash forecasting, intercompany settlements, in‑house…
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