Strategic Treasury Manager: Cash, Forecasting & Automation
Listed on 2026-10-07
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Finance & Banking
Corporate Finance, Financial Manager, Risk Manager/Analyst -
Management
Financial Manager, Risk Manager/Analyst
New Relic, a global observability platform, seeks a Treasury Manager to own treasury operations and shape strategy. You will manage daily cash, liquidity, and debt, while modernizing treasury systems and banking infrastructure across the org.
You'll partner with teams to streamline processes, build robust forecasts, ensure compliance, and drive automation. This role blends hands-on execution with strategic planning in a fast-paced environment.
Join us at New Relic as our next Strategic Treasury Manager:
Cash, Forecasting & Automation in Portland, OR, United States.
We invite applications for the Strategic Treasury Manager:
Cash, Forecasting & Automation position located in Portland, OR, United States.
The following opportunity is for a Strategic Treasury Manager:
Cash, Forecasting & Automation with New Relic.
Our group is growing, and we are hiring a Strategic Treasury Manager:
Cash, Forecasting & Automation in Portland, OR, United States.
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