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Treasurer

Job in Salt Lake City, Salt Lake County, Utah, 84193, USA
Listing for: Varex Imaging Corporation
Full Time position
Listed on 2026-06-26
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance, Financial Manager, CFO
Salary/Wage Range or Industry Benchmark: 120000 - 180000 USD Yearly USD 120000.00 180000.00 YEAR
Job Description & How to Apply Below

Varex Imaging's technology helps our customers see more clearly. Our imaging component solutions are designed for use in high-speed, high-quality, wireless, and digital imaging systems around the world. Tens of thousands of specialized X-ray tubes and flat-panel digital detectors, plus high voltage connectors and imaging software, all developed by Varex, are manufactured each year for sale to imaging equipment manufacturers. Our highly specialized medical imaging solutions provide the technology behind the products relied upon for critical decisions every day.

The Treasurer is responsible for leading Varex Imaging’s global treasury function and serving as the enterprise owner of liquidity, capital structure, financial risk management, and treasury governance. This role provides strategic leadership and oversight across cash management, debt and credit administration, insurance programs, investment management, and global risk mitigation. As a Senior Director, this role acts as a key advisor to executive leadership and the Board of Directors, ensuring strong financial stewardship, risk management, and scalability in support of the Company’s long-term strategy.

Key Responsibilities
  • Leads the global corporate treasury function, with enterprise accountability for cash, liquidity, debt, capital structure, and financial risk management.
  • Provides strategic oversight and direction for global cash management, cash forecasting, pooling structures, and liquidity optimization.
  • Partners with the CFO and executive leadership to optimize capital structure, capital allocation decisions, and long‑term funding strategies.
  • Oversees corporate credit administration, including credit facilities, guarantees, letters of credit, and covenant compliance.
  • Serves as custodian for the Company’s debt instruments and maintains senior‑level relationships with lenders, banks, and rating agencies.
  • Owns enterprise‑wide foreign currency hedging, interest rate risk management, and broader financial risk mitigation strategies across global operations.
  • Oversees the Company’s cash and investment portfolio, ensuring adherence to approved investment policies and risk tolerances.
  • Has executive accountability for the enterprise business insurance portfolio, including program design, renewals, claims strategy, and broker relationships.
  • Establishes and maintains treasury policies, controls, and governance frameworks to ensure compliance, audit readiness, and risk discipline.
  • Provides strong executive presence and regularly interfaces with senior leadership, the Audit Committee, and Board of Directors on treasury‑related matters.
  • Leads, develops, and scales a high‑performing global treasury organization, ensuring succession planning, capability development, and operational excellence.
  • Drives continuous improvement of treasury systems, tools, and processes, including ERP, banking platforms, and treasury management systems.
Required Skills and Knowledge
  • Deep expertise in global treasury, corporate finance, capital markets, and financial risk management.
  • Strong understanding of debt instruments, liquidity management, foreign exchange, interest rate hedging, and investment governance.
  • Proven ability to lead complex, global organizations and influence at the executive and Board level.
  • Exceptional judgment, analytical capability, and ability to balance risk management with business growth objectives.
  • Strong interpersonal and communication skills, with the ability to clearly articulate complex financial topics to non‑financial stakeholders.
  • Advanced proficiency in Microsoft Word, Excel, and PowerPoint.
  • Extensive experience with SAP or equivalent ERP systems, treasury management systems, and global banking platforms.
Education and Experience
  • B.S. Degree in Finance, Accounting, or related field required;
    Master’s Degree preferred.
  • 15+ years of progressive treasury or finance experience, including significant global leadership experience.
Required Certifications and Training
  • Treasury or finance certification (e.g., CTP) strongly preferred.
BENEFITS Offered to our Employees:
  • Medical Insurance (Select Health or Regence)
  • Unlimited PTO
  • Employee Stock Purchase Plan (15% Discount)
  • 401K Plan through Fidelity
  • Tuition Reimbursement (up to $7,500 per Year)
  • Short/Long-Term Disability (Company Paid)
  • Life Insurance (Company Paid)
Take a Look at Our PERKS:
  • ON-SITE Cafeteria, Nurse, Credit Union, and Gym
  • Free soda & coffee
  • EV Charging Stations
  • Secured Parking
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