JobHunter AI
Treasury Manager
Veeam Software
Location
United States
Work Mode
Field
Type
Full-Time
Sector
Tech
First Seen
2026-07-07
Source
himalayas
Field Work United States ERP Data Finance MEAL Deadline Unclear Remote
Job Description
<div class="content-intro"><div class="elementToProof"><p>Veeam is the Data and AI Trust Company, specializing in helping organizations ensure their data and AI are fully understood, secured, and resilient to enable the acceleration of safe AI at scale. As the market leader in both data resilience and data security posture management, Veeam is built for the convergence of identity, data, security, and AI risk. Headquartered in Seattle with offices in more than 30 countries, Veeam protects over 550,000 customers worldwide, who trust Veeam to keep their businesses running. Join us as we go fearlessly forward together, growing, learning, and making a real impact for some of the world’s biggest brands.</p></div></div><h3>About the Role</h3><p>This is a greenfield opportunity on Veeam’s Global Treasury team, created to stand up and lead our FX and investment programs from the ground up. The Treasury Manager, FX and Investments will define hedging policies, run the trading desk day-to-day, support our debt portfolio, and build the processes and reporting infrastructure that underpin how treasury operates at scale. You’ll work cross-functionally with Accounting and FP&amp;A while managing relationships with external trading counterparties and driving system improvements including integration with NetSuite. This is a builder’s seat, ideal for someone who thrives on creating structure, exercising sound risk judgment, and making a direct impact on how a global company manages its financial risk.</p><h3>What You’ll Do</h3><ul><li>Define and manage the FX hedging program end-to-end, covering exposure identification, sizing, execution, settlement, and P&amp;L attribution, and execute FX forwards to hedge balance sheet exposures across global entities</li><li>Build out FX exposure reporting and forecasting, and evaluate an intercompany netting process to reduce gross FX exposure, hedging volume, and trading costs</li><li>Optimize yield on operating cash while managing day-to-day global liquidity, including cash positioning, intercompany funding, and short-term investment execution within policy</li><li>Support management of Veeam’s debt portfolio, including interest payments, interest rate swaps, covenant tracking, and compliance reporting</li><li>Help write FX and investment policies and the operating procedures behind them, including trade workflows, confirmations, settlements, and reconciliations</li><li>Own the forecast for Other Interest and Expense in partnership with FP&amp;A, and support month-end close on FX, derivatives, investments, and debt with Accounting</li><li>Produce exec-level reporting on FX exposures, hedge performance, investments, liquidity, and covenant compliance</li><li>Help select and implement new treasury systems, drive integration with NetSuite, and identify automation opportunities to eliminate manual work</li></ul><h3>Technologies You’ll Work With</h3><p>NetSuite</p><h3>Treasury Management Systems</h3><h3>FX Trading Platforms</h3