Logo
Commercial Aviation Solutions

Senior Manager, Treasury

Commercial Aviation Solutions, St. Petersburg, Florida, United States, 33739

Save Job

Job Description Acron Aviation is a global leader in commercial aviation solutions - designed, engineered, and delivered by a team of passionate innovators redefining what’s possible in flight. From advanced avionics and flight data intelligence to world‑class simulation and pilot training, we support aircraft operators and OEMs with the technology and expertise to fly safer, smarter, and more efficiently. Now, with a bold new identity, we’re building on a legacy of aviation excellence – unleashing fresh energy, modern thinking, and a customer‑first mindset to meet the demands of today’s rapidly evolving aerospace industry. Welcome to Acron Aviation – where the future takes flight!

About Acron Aviation Acron Aviation is a global leader in commercial aviation solutions – designed, engineered, and delivered by a team of passionate innovators redefining what’s possible in flight. From advanced avionics and flight data intelligence to world‑class simulation and pilot training, we support aircraft operators and OEMs with the technology and expertise to fly safer, smarter, and more efficiently. Now, with a bold new identity, we’re building on a legacy of aviation excellence – unleashing fresh energy, modern thinking, and a customer‑first mindset to meet the demands of today’s rapidly evolving aerospace industry. Welcome to Acron Aviation – where the future takes flight!

Senior Manager, Treasury – Job Description The Senior Manager, Treasury will report directly to the Chief Financial Officer and serve as the company’s first dedicated treasury leader. This role will be responsible for building and managing global treasury operations for a multinational organization with diverse entities and banking relationships. The Senior Manager will design and implement strategies for liquidity, risk management, and capital structure, while driving efficiencies in global banking, cash visibility, and FX. This is a highly visible position with exposure to the executive team, offering an opportunity to shape a scalable treasury function for a growing global enterprise.

Essential Functions Liquidity & Cash Management

Direct oversight of daily liquidity needs and funding across global entities.

Optimize use of cash through pooling, intercompany arrangements, and rationalization of banking structures.

Provide clear visibility of cash positions to the CFO and executive leadership.

Banking & Controls

Serve as the primary point of contact with global banking partners.

Oversee banking platforms, entitlements, and transaction approval processes.

Establish strong internal controls, compliance, and SOX‑aligned processes.

Foreign Exchange & Risk Management

Design and implement the company’s first FX policy and hedging strategy.

Partner with business units to identify and mitigate exposure.

Capital Markets & Financing

Manage servicing of existing loan facilities, credit lines, and surety instruments.

Support financing initiatives for acquisitions and capital investments.

Guide capital structure and treasury impacts of strategic decisions.

Forecasting & Business Partnership

Collaborate with FP&A and regional finance to validate cash forecasts and ensure liquidity planning aligns with business needs.

Deliver treasury insights to the CFO and Board to support decision‑making.

M&A & Growth

Lead treasury diligence, banking setup, and integration for acquisitions.

Ensure smooth alignment of acquired entities into the company’s treasury framework.

Qualifications

Bachelor’s degree in Finance, Accounting, or Economics.

8–12 years of progressive treasury and finance experience.

Deep knowledge of corporate cash management, FX, and debt servicing.

Strong banking relationship management and capital markets experience.

Proven ability to implement treasury systems, processes, and policies.

Excellent communication and executive presence; comfortable presenting to CFO / Board.

Preferred Additional Skills

MBA, CFA, or CTP designation.

Experience establishing a treasury function in a multinational corporation.

Familiarity with treasury management systems and ERP integrations.

Prior experience with PAC treasury oversight.

Track record of supporting M&A from a treasury perspective.

#J-18808-Ljbffr