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Senior Director, Treasury

Job in San Diego, San Diego County, California, 92189, USA
Listing for: Halozyme,-Inc.-1
Full Time position
Listed on 2026-09-12
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Manager, Chief Financial Officer (CFO)
Salary/Wage Range or Industry Benchmark: 250000 - 290000 USD Yearly USD 250000.00 290000.00 YEAR
Job Description & How to Apply Below
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We look forward to discovering your talents.

Welcome to an inspired career.

At Halozyme, we are reinventing the patient experience and building the future of drug delivery. We are passionate about the important work we do and constantly strive to do more. We embrace transformation and work hard to innovate for the future. We do this together, as One Team – we rise by lifting others up and believe in the power of working together for the collective win.

That’s why we need you—to help us make a significant impact by taking on increasingly complex challenges, leaping beyond the status quo, advancing our mission and making our One Team culture thrive.

Join us as a Senior Directory, Treasury , and you’ll be part of a culture that welcomes diversity, thinks differently to solve problems, works collaboratively as one team, and delivers meaningful innovations that impact people’s lives.

How you will make an impact

The Senior Directory, Treasury is responsible for building and advancing a rapidly scalable cash generation strategy, convertible debt portfolio, and share repurchase program to meet the objectives of a high-growth, royalty driven biotechnology business. The Senior Director, Treasury will partner with the Chief Financial Officer on liquidity, capital allocation, risk management, and operational excellence through building scalable processes, controls, and  this role, you’ll have the opportunity to:

Building a comprehensive treasury strategy aligned with Halozyme corporate objectives

Providing treasury perspective and modeling for Board and Investor communications on liquidity position, capital structure, risk management, and capital return strategy

Partnering with the Chief Financial Officer on developing and managing Halozyme’s capital allocation strategy and decisions

Forecasting cash, royalties & milestone collections, payment timing, capital, share repurchases, and M&A outflows

Overseeing bank administration, signatory controls, online banking, and reconciliation processes

Evaluating and implementing Treasury Management Systems as needed

Developing, implementing, monitoring, and updating the short-term investment policies for cash reserves and marketable securities, balancing safety, liquidity, yield, and risk Managing the investment portfolio, ensuring alignment with overall liquidity needs and debt obligations

Identifying, measuring, monitoring, and mitigating key financial risks including foreign exchange, interest rate risk, and credit risk Recommending hedging strategies

Supporting broader enterprise risk management efforts that may intersect with treasury

Providing recommendations and execution on the share buyback plan Analyzing debt capacity and determining optimal debt financing options

Modeling organic and M&A valuations, tracking, funding analysis, integration planning, and overall support for M&A, licensing deals, and business development opportunities

Establishing, documenting, and implementing continuous improvement measures for treasury policies, procedures, and SOX control (cash, banking, payments, risk management)
Ensuring compliance with debt covenants, SEC reporting requirements, and other regulatory obligations

Delivering timely reporting to the Chief Financial Officer, executive team, Audit Committee, and other stakeholders as required

Other duties as assigned

To succeed in this role, you’ll need:

Bachelor’s degree with at least 12 years of diverse financial and…
Position Requirements
10+ Years work experience
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