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Manager, Treasury

Atlanta, Georgia, United States · Center Valley, Pennsylvania, United States · Las Vegas, NV · Morrisville, North Carolina, United States · Tampa, Florida, United States

Overview

Shift4 (NYSE: FOUR) is boldly redefining commerce by simplifying complex payments ecosystems across the world. As the leader in commerce-enabling technology, Shift4 powers billions of transactions annually for hundreds of thousands of businesses in virtually every industry. For more information, visit www.shift4.com.

We are seeking an experienced Treasury Manager to join our Treasury team. This role offers a unique opportunity to be a key contributor to the company’s strategic decision-making through management of the company’s cash position, overall liquidity and investment strategies to optimize return on free cash flow.


Key Responsibilities:

  • Daily oversight of domestic and international operating cash activity across various entities,
    executing transfers between Shift4 accounts as necessary to ensure they are appropriately
    funded and interest on free cash flow is optimized
  • Execution of domestic (Fed) wires, international (SWIFT) wires and ACH transfers
  • Daily reporting of bank account balances, interest rate trends and fx gains / losses
  • Creation of short and long term cash forecasts, closely monitoring results and documenting the
    root-cause of significant actual to forecast variances
  • Preparation of debt covenants on a quarterly basis
  • Management of relationships with various financial institutions
  • Bank account management oversight, including opening/closing accounts, maintenance of
    appropriate bank account signers and maintaining compliance with internal controls
  • Online banking system oversight, including maintenance of appropriate user access and
    entitlements and evaluation of banking system functionality to improve operational efficiency
  • Ensuring compliance with regulations, internal controls (i.e., Sarbanes-Oxley requirements) and
    company policies
  • Manage Sarbanes-Oxley, internal and external audit requirements related to treasury activities
  • Facilitate the preparation of treasury reporting and presentations for senior management
  • Identify and implement opportunities to streamline Treasury processes and procedures
  • Collaborate cross-functionally with Finance, Accounting, HR, Marketing, Sales and other
    departments to optimize workflows.

Qualifications:

  • Bachelor’s degree in Accounting or Finance (MBA a plus)
  • 5-7 years of experience in Treasury, preferably in a corporate environment with domestic and
    international bank account experience
  • Certified Treasury Professional certification a plus
  • Expertise in cash management strategies, financial instruments (i.e. money markets and other
    investment instruments) and management of foreign currencies
  • Extensive experience with online banking systems (knowledge of treasury management
    systems and ERP platforms a plus.
  • Proficient in Microsoft Excel.
  • Excellent understanding of financial markets and regulations (i.e., Sarbanes-Oxley).
  • Exceptional analytical, problem-solving and communication skills.

We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex, age, national origin, religion, sexual orientation, gender identity and/or expression, status as a veteran, and basis of disability or any other federal, state or local protected class.


 

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