We’re committed to bringing passion and customer focus to the business.
At Proofpoint, we have a passion for protecting people, data, and brands from todays advanced threats and compliance risks. We hire the best people in the business to:
Build and enhance our proven security platform
Blend innovation and speed in a constantly evolving cloud architecture
Analyze new threats and offer deep insight through data-driven intel
Collaborate with customers to help solve their toughest security challenges
We are singularly devoted to helping our customers protect what matters most. Thats why were a leader in next-generation cybersecurityand why more than half of the Fortune 100 trust us as a security partner.
The Treasury Manager role will support the Finance team in developing corporate treasury strategy, managing cash, daily treasury functions and assist in the ongoing implementation of new programs and services world-wide to automate and improve business processes. The Treasury Manager will work closely with groups across the organization including Accounting, Finance, Tax, Legal, Internal Audit, and IT. This person will be a self-starter, motivated, high-potential performer with strong financial analytic skills, attention to detail, and ability to work in a fast-paced environment.
Develop an effective global cash management strategy, including hedging, for the company
Provide support for cash, investment and foreign exchange trading, settlements and reporting
Daily cash management including intercompany subsidiary funding and other payment requests worldwide
Work with banking partners to evaluate existing bank relationships and available bank products and pricing; complete compliance reporting
Monitor worldwide global cash and prepare quarterly reporting including BOD presentations to Senior Management
Coordinate and lead all banking integration initiatives
System access management manage online banking and trading (FX & Investment) portals, etc.
Update and maintain users on multiple global banking portals as requested; work with legal team and banks for compliance requests, maintain/update bank accounts signatories and resolutions; maintain database of existing bank accounts and analyze bank charges for potential savings.
Ensure existing procedures are followed in compliance with SOX requirements; interface with internal and external auditors, providing reports and assisting with SOX testing.
Interact/Support with insurance brokers to assist in the annual worldwide business insurance renewal process; track and coordinate insurance claims
Ad-hoc Treasury projects
What you bring to the team
BS/BA in Accounting, Finance or Economics
Minimum of 5 years of Finance/Treasury related experience including 2 years of International Treasury experience
Must have experience in Hedging
Must be a self-starter who is able to work independently and ability to build effective working relationships with bankers and internal counterparts
Advanced Microsoft Office skills (i.e. Excel, Word, and PowerPoint)
Organized, accurate and able to handle multiple tasks concurrently.
Exercises good judgment within defined guidelines
Excellent communication skills and high level of attention to detail
Strong understanding of cash management and corporate finance and accounting
As a customer focused and driven-to-win organization with leading edge products, there are many exciting reasons to join the Proofpoint team. We believe in hiring the best the brightest and cultivating a culture of collaboration and appreciation. As we continue to grow and expand globally, we understand that hiring the right people and treating them well is key to our success! We are a multi-national company with locations in 10 countries, with each location contributing to Proofpoints amazing culture!
#LI – JR1
If you like wild growth and working with happy, enthusiastic over-achievers, you’ll enjoy your career with us!
Original source: Glassdoor US