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Job in Marlborough, Middlesex County, Massachusetts, 01752, USA
Listing for: Seaman Paper
Full Time position
Listed on 2026-07-01
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Manager, CFO
Salary/Wage Range or Industry Benchmark: 165000 - 185000 USD Yearly USD 165000.00 185000.00 YEAR
Job Description & How to Apply Below

Treasurer | Global Manufacturing Marlborough, MA Full-Time On-Site

We are seeking an experienced Treasurer to lead and scale treasury functions for a global manufacturing organization. The Treasurer will own treasury strategy and execution across cash management, liquidity planning, financing and capital management, foreign exchange and interest rate exposure, banking relationships, and treasury controls. This role partners with Finance, Accounting, Corporate Development and Operations to optimize working capital, support M&A and financing activities, and ensure financial stability and compliance across global banking structures.

Key Responsibilities

  • Develop and implement a comprehensive treasury strategy aligned with corporate goals, balancing liquidity, capital efficiency and risk mitigation.
  • Lead cash management and payments operations, including centralized cash pooling, bank account structures and payment optimization globally.
  • Drive short- and long-term cash forecasting and liquidity planning to ensure adequate funding for operations, capex and acquisitions.
  • Manage relationships with banks, lenders and other financial counter parties; negotiate fees, facilities and service agreements.
  • Oversee financing activities and debt administration, including working capital facilities, bond and loan issuances, amortization schedules and covenant management.
  • Design and execute FX and interest rate exposure management programs, including hedging strategies and use of derivatives in accordance with policy.
  • Optimize working capital through inventory, receivables and payables initiatives in partnership with Operations and Supply Chain.
  • Establish and monitor treasury controls, governance frameworks and compliance with internal policies and regulatory requirements.
  • Develop and implement scalable treasury operations and technology solutions, including TMS and ERP integrations to improve efficiency and reporting.
  • Manage investment strategies and short-term portfolio to preserve capital while maximizing returns and liquidity.
  • Oversee credit and insurance programs, including counter party credit risk assessment and insurance strategy.
  • Provide treasury reporting, KPIs and analytics to the executive team and Board; drive improvements in working capital metrics and treasury reporting.
  • Support mergers, acquisitions and divestitures from a treasury perspective, including cash planning, funding, post-close integration and treasury structure alignment.

Qualifications

  • Bachelors degree in Finance, Accounting, Economics or related field; MBA or advanced finance degree preferred.
  • CPA, CFA, or Certified Treasury Professional (CTP) or equivalent certification highly desirable.
  • 10+ years of progressive treasury experience, with significant exposure to global manufacturing or multinational corporate environments.
  • Proven experience developing and executing treasury strategy, cash management, liquidity planning, and working capital optimization.
  • Deep knowledge of banking relationships, global banking structures, cash pooling, and debt administration.
  • Hands-on experience with foreign exchange hedging, interest rate risk management and other financial risk mitigation techniques.
  • Experience managing financing activities, capital management, investment strategies and debt capital markets transactions.
  • Strong understanding of treasury controls, governance, compliance, and regulatory requirements (IFRS/GAAP implications).
  • Proven track record implementing scalable treasury operations, treasury management systems (TMS) and ERP integrations.
  • Demonstrated ability to assess and manage counter party, credit and liquidity risk, and to design insurance and credit management programs.
  • Experience supporting mergers, acquisitions and integration from a treasury and liquidity standpoint.
  • Excellent leadership, cross-functional collaboration and stakeholder management skills, with the ability to influence at executive level.
  • Advanced financial modeling, cash forecasting and analytical skills; proficiency with Excel and treasury systems.
  • Strong communication skills, integrity, and a focus on financial stability and continuous process improvement.

Benefits

  • Competitive compensation range of $165-185K targeted based on experience
  • Bonus: 20%
  • 401K: match up to 5% with $1/$1 matching
  • Dental Insurance
  • Health Insurance
  • Vision Insurance
  • PTO
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