Treasury Manager
Commvault
- Location
- United Kingdom
- Work model
- Remote
- Level
- Senior
- Posted
- 2h ago
About this role
Recruitment Fraud Alert
We’ve learned that scammers are impersonating Commvault team members—including HR and leadership—via email or text. These bad actors may conduct fake interviews and ask for personal information, such as your social security number.
What to know
• Commvault does not conduct interviews by email or text.
• We will never ask you to submit sensitive documents (including banking information, SSN, etc) before your first day.
If you suspect a recruiting scam, please contact us at wwrecruitingteam@commvault.com
About Commvault
Commvault (NASDAQ: CVLT) is the gold standard in cyber resilience. The company empowers customers to uncover, take action, and rapidly recover from cyberattacks – keeping data safe and businesses resilient. The company’s unique AI-powered platform combines best-in-class data protection, exceptional data security, advanced data intelligence, and lightning-fast recovery across any workload or cloud at the lowest TCO. For over 25 years, more than 100,000 organizations and a vast partner ecosystem have relied on Commvault to reduce risks, improve governance, and do more with data.
Role Overview
We are seeking a Treasury Manager to be based in the UK, who will help shape a newly established Treasury function. As a member of the Treasury team, you’ll play an integral part of the Corporate Treasury team and will be responsible for all cash management responsibilities internationally including liquidity management, cash flow forecasting, money market investments, cash repatriation, bank account management, reporting and driving automation projects. Assist in the contribution to the design and development of processes, and best practices within the department.
What you'll do
• Oversee and manage daily treasury operations including cash positioning, liquidity management and bank account management across all international entities.
• Partner with accounting and operational stakeholders to improve cash forecasting and implement cash management initiatives that align to the liquidity needs of the business.
• Have in depth experience with various pooling structures, monthly settlements, and repatriation of cash that are compliant with local tax, international statutory and banking requirements.
• Manage currency exposure and transactions across multiple jurisdictions, ensuring effective foreign exchange management and compliance with local regulations.
• Evaluate financial exposures that could cause volatility on the balance sheet.
• Manage intercompany loans and exposures, ensuring compliance with transfer pricing policies and identifying opportunities for efficient cash repatriation.
• Drive automation and optimization of treasury processes and systems for efficiency and scalability. Ie) Implementation of Treasury Systems (TMS) platforms, Dashboards
• Monitor investment compliance and ensure investments align with our Treasury investment policy and strategy.
• Assist in supporting regular compliance requests, creating new bank accounts when required, managing documentation requests.
• Manage relationships with global banking partners ensuring access to competitive financial products and services and adherence to regulatory and compliance standards
• Collaborate cross functionally with Tax, Legal, FP&A and Accounting teams to identify liquidity needs, execute intercompany loans, intercompany settlements, and other Treasury operations projects in order to meet business objectives
Who you are
• Experience in global corporate treasury function with