Discover and apply for Senior Treasury Manager jobs, a critical leadership role at the heart of corporate finance. A Senior Treasury Manager is a strategic steward of an organization's financial health, responsible for safeguarding liquidity, optimizing capital structure, and mitigating financial risk. This senior position sits at the intersection of finance, risk management, and strategic planning, requiring a blend of deep technical expertise and sharp business acumen. Professionals in these roles are pivotal in ensuring the company has the cash needed to operate and grow while protecting its balance sheet from market volatility. The core responsibilities of a Senior Treasury Manager typically encompass several key areas. Cash and liquidity management is fundamental, involving daily cash positioning, forecasting short and long-term funding needs, and ensuring efficient movement of funds globally. They develop and execute strategies to optimize working capital. A major component is financial risk management, where they identify, measure, and hedge exposures related to foreign exchange (FX), interest rates, and commodities. This often involves sophisticated hedge accounting and compliance with relevant standards. Furthermore, they manage critical banking relationships, negotiate credit facilities, and oversee the company's debt and investment portfolios. In many organizations, they also own the treasury technology stack and drive process improvements, automation, and robust internal controls and governance frameworks. To excel in Senior Treasury Manager jobs, candidates generally need a strong educational foundation, typically a bachelor's degree in finance, accounting, or economics, with many holding an MBA or professional certifications like the Certified Treasury Professional (CTP) or CPA. The role demands substantial experience, often 8-12+ years of progressive responsibility within corporate treasury, banking, or a related field. Essential skills include advanced analytical abilities for financial modeling, a thorough understanding of financial markets and instruments, and proficiency with treasury management systems (TMS) and ERPs. Given the regulatory and control environment, knowledge of accounting principles (US GAAP/IFRS) and compliance (SOX) is crucial. Senior Treasury Managers must be exceptional communicators, capable of presenting complex strategies to executives and board members, and possess proven leadership skills to mentor teams and influence cross-functional partners. They are strategic thinkers, decisive under pressure, and adept at navigating complex, fast-paced environments. If you are a finance leader passionate about strategic capital management and risk mitigation, exploring Senior Treasury Manager jobs could be the next step in your impactful career.