Assistant Treasurer
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🚀 Confidential Job Posting
Job Title: Assistant Treasurer – High-Growth Infrastructure & Tech
Location: Miami, FL (Brickell) – Onsite (Relocation Support Provided)
Industry: High-Performance Computing, Data Infrastructure & Tech
Employment Type: Full-Time
About the Opportunity âš¡
Are you a seasoned, high-performing treasury professional who thrives in dynamic, fast-paced environments? Are you ready to step into a high-visibility leadership role where you can build and scale a corporate investment and balance-sheet risk function from the ground up?
We are partnering with a rapidly growing, publicly traded industry leader at the forefront of high-performance data infrastructure and next-generation technology. Operating across North America, this high-growth company is expanding its finance team in its world-class Brickell (Miami) office.
Reporting directly to executive finance leadership, the Assistant Treasurer will serve as a key strategic partner. While day-to-day banking operations and reconciliations are fully handled by an established team, you will take full ownership of corporate investments, liquidity planning, balance-sheet risk management, and capital markets execution.
Why You’ll Love Working Here 🌴
- High-Impact Build-Out Role: Not a static maintenance job—you get to shape corporate investment policy and risk strategy from day one.
- Executive Visibility: Work directly alongside C-suite leaders and present key treasury strategies to executive management and the Board of Directors.
- Premier Work Culture & Environment: Located in the heart of Brickell, enjoying top-tier office amenities, daily catered lunches, golf and Formula 1 simulators, and an energetic, collaborative atmosphere.
- Growth & Equity Potential: Be part of a publicly traded enterprise capturing massive market momentum, supported by highly competitive target bonus structures and equity participation.
Key Responsibilities 🎯
- Investment & Liquidity Strategy: Execute corporate investment policies, manage active and fluctuating cash flows, and conduct strategic scenario testing for substantial liquidity pools.
- Capital Markets & Financing: Support debt issuances, credit facility management, refinancing, and lender/rating agency interactions.
- Financial Risk Management: Oversee interest rate and FX risk management programs, including derivatives execution, hedging strategy, and effectiveness reporting.
- Systems & Optimization: Serve as the functional owner of Treasury Management Systems (TMS), driving process automation, ERP integrations, and enhanced data analytics.
- Strategic Advisory: Partner cross-functionally with FP&A, Accounting, Legal, and Tax to model balance-sheet scenarios and advise executive leadership.
What We’re Looking For 👤
- Experience: 5–8+ years of progressive corporate treasury, capital markets, or corporate finance experience (public company exposure highly preferred).
- Hands-On Execution: Proven capability to actively manage substantial, rapidly changing cash balances in capital-intensive or high-growth sectors (e.G., tech, infrastructure, energy, logistics, telecom).
- Technical Depth: Deep knowledge of cash positioning, liquidity forecasting, capital structure, debt instruments, and FX/interest rate derivatives.
- Communication & Presence: High level of executive presence, sound business judgment, and the credibility to present directly to Board members and external financial partners.
- Education & Credentials: Bachelor’s degree in Finance, Accounting, or Economics required. CTP, CFA, or MBA is a strong plus.
- Location: Based in or willing to relocate to Miami, FL for a predominantly in-office setup (~4+ days/week). Full relocation support is available for out-of-market talent.
How to Apply 📩
If you are a driven, solutions-oriented treasury leader seeking high visibility, high ownership, and a premier team environment in Miami, apply today All inquiries and submissions are kept strictly confidential.
Keywords: Assistant Treasurer, Treasury Manager, Director of Treasury, Corporate Finance, Liquidity Forecasting, Cash Management, Capital Markets, Interest Rate Hedgi