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Manager, Treasury

sephora.com

San FranciscoFull-timeMid LevelOn-site

Job Description

Overview Ready for a career glow up? The work you do will impact beauty, as you provide critical financial insights, optimize cash flow processes, and support strategic business decisions that drive operational excellence across the organization. You’ll lead a team that is passionate about financial stewardship, continuous improvement, and delivering business results through strong treasury management and cross-functional partnership.

Responsibilities Lead day-to-day treasury operations, including cash management, liquidity planning, cash pooling, banking administration, and funding support across multiple business entities. Develop, manage, and enhance cash flow forecasting processes, ensuring accurate visibility into company liquidity and financial performance. Oversee daily, monthly, quarterly, and annual cash flow reporting and analysis, providing actionable insights to leadership.

Manage cash flow budgets, actuals, and variance analyses while identifying trends, risks, and opportunities to support business decision‑making. Partner with Accounting to review direct and indirect cash flow reconciliations and support internal and external audit requests. Build and maintain strong relationships with banking partners while managing banking configurations, services, and treasury operations.

Lead treasury‑related projects and transformation initiatives, identifying opportunities to improve processes, systems, and controls. Support the implementation and optimization of treasury technologies and planning tools, including Kyriba, Anaplan, and related systems. Develop and document treasury policies, procedures, and best practices to drive operational consistency and compliance.

Provide leadership, coaching, and development to treasury team members while fostering a collaborative and high‑performing environment. Partner with cross‑functional stakeholders across Finance, Accounting, Operations, and Global teams to support business objectives and strategic initiatives. Monitor industry trends, treasury best practices, and emerging technologies to continuously improve treasury operations.

Qualifications Bachelor’s degree in Finance, Accounting, Business Administration, or a related field. 5‑10 years of progressive experience in Corporate Treasury, Finance, or Accounting with a strong focus on cash management, liquidity planning, banking operations, and cash flow reporting. Proven experience managing treasury operations in a complex, multi‑entity environment. Strong knowledge of cash forecasting, liquidity management, banking services, and treasury controls.

Experience with treasury and financial planning systems such as Kyriba, Anaplan, and advanced Microsoft Excel. Demonstrated ability to analyze financial data, identify trends, and translate insights into actionable business recommendations. Experience leading cross‑functional initiatives, process improvements, and system implementations.

Strong project management skills with the ability to manage multiple priorities in a fast‑paced environment. Excellent communication and relationship‑building skills, with the ability to influence stakeholders at all levels of the organization. Proven leadership experience with a track record of developing and mentoring team members.

Strong critical thinking, problem‑solving, and strategic planning capabilities. Ability to thrive in an environment that requires agility, adaptability, and sound decision‑making. #J-18808-Ljbffr

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