CW Senior Treasury Manager
Listed on 2026-02-16
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Finance & Banking
Corporate Finance, Financial Manager
Bio Marin’s Global Finance operations continue to grow rapidly with the overall company and are developing into a leading-edge global finance organization. Bio Marin has over $3 billion of annual revenues and operations in more than 40 countries that drive a fast‑paced and dynamic team environment, along with operational complexity. Bio Marin has ambitious growth plans and a enthusiastic global team that is eager to deliver world‑class accounting and finance services to Bio Marin and its stakeholders.
Contract Role Approx 8 to 9 months
** Hybrid position. Must be in the San Rafael office on Tue and Thur. ***
Reporting to the Senior Treasury Manager, this position will support across the Treasury function, including critical treasury operations, FX back office and M&A integration work streams. This role requires a multi‑national corporate treasury professional who is highly technical, hands‑on, detail oriented, with strong organizational and communication skills. The ideal candidate would be knowledgeable across all aspects of corporate treasury function.
Bank Infrastructure and Services- Maintain a best‑in‑class worldwide banking infrastructure. Collaborate with the International Treasury team to align banking goals and strategies.
- Ensure high levels of service are provided to corporate business partners and identify and evaluate opportunities for efficiencies.
- Support best‑in‑class initiatives around fraud prevention, risk mitigation, straight‑through processing, governance and global liquidity management.
- Support regulatory compliance, including FBAR and KYC.
- Engage with and learn the Company’s SAP MBC treasury workstation, including the Cash Flow Analyzer, payment processes and any new modules.
- Adhere to standards and procedures for project reporting and documentation.
- Perform other related duties as required.
- Support the company’s short‑term liquidity forecast utilizing bank systems and SAP.
- Maintain a strong daily cash positioning template and create and release EFTs as appropriate.
- Support the FX Back Office, including wire settlements.
- Monitor intercompany balances, help plan and manage intercompany trade and loan settlements.
- Monitor Treasury operational policies, oversee SOX compliance and support internal and external audit requirements.
- Strong understanding of treasury operations and corporate banking practices.
- Experience using treasury workstations (SAP preferred), risk management systems (FXall, Capella
FX, Clearwater) and various bank and investment portals (Citi Direct, BOA Cash Pro, JPMorgan Money). - Experience managing multiple projects simultaneously.
- Desire to share knowledge in a cooperative fashion and be a team player.
- Excellent communication and organizational skills.
- Strong work ethic, attention to detail, ability and willingness to work effectively independently as well as part of a team.
- 7+ years of experience in a multi‑national corporate Treasury department.
- University degree in Business, Accounting or Finance.
- Treasury Qualification (CTP) is a plus.
Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, or protected veteran status and will not be discriminated against on the basis of disability.
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