Live opening · Posted 2 days ago

Head of Treasury

Leidos Inc · Mesa, AZ (Remote)
Linkedin Yes
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At a glance

The key details from the original listing.

Posted 2 days ago
CompanyLeidos Inc
LocationMesa, AZ (Remote)
Work modeYes
SourceLinkedin
Listed2 days ago

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About the role

Description supplied by the original job listing.

Company Description Leidos Inc. is a technology-driven company focused on solving complex challenges in sectors such as defense, intelligence, civil, and health. The organization combines advanced analytics, digital solutions, and engineering expertise to support mission-critical operations for government and commercial clients. Leidos emphasizes innovation, integrity, and operational excellence, offering team members opportunities to work on impactful, large-scale projects. The company supports inclusive, collaborative work environments and invests in professional growth and development. Employees are encouraged to bring forward-thinking ideas that improve outcomes for customers and communities.
Role Description The Head of Treasury is a full-time remote role responsible for overseeing the company’s global treasury function, including cash management, liquidity planning, and risk mitigation. This role leads the development and execution of treasury strategies, manages banking relationships, and ensures efficient use of cash and investment resources. Day-to-day responsibilities include monitoring cash positions, forecasting cash flows, implementing hedging strategies, and optimizing capital structure in coordination with finance and accounting teams. The Head of Treasury will establish policies, controls, and reporting processes that support compliance with internal guidelines and external regulations. The role also involves leading treasury staff, partnering with senior leadership on strategic initiatives, and providing clear, data-driven recommendations on treasury-related decisions.
Qualifications
Strong expertise in Treasury Management and Cash Management, with experience overseeing complex, multi-entity cash operations.
Advanced Analytical Skills and Finance knowledge to evaluate liquidity, capital structure, and risk exposures.
Proficiency in Hedging and risk management techniques, including foreign exchange and interest rate risk mitigation.
Experience building and managing treasury policies, controls, and systems, including treasury management platforms and banking tools.
Proven leadership abilities, including managing teams, driving cross-functional collaboration, and influencing senior stakeholders.
Excellent communication, presentation, and decision-making skills, with the ability to explain complex financial concepts clearly.
Bachelor’s degree in Finance, Accounting, Economics, or a related field; advanced degree or professional certification (e.g., CTP, CFA, MBA) is beneficial.
Background in a large corporate or multinational environment and familiarity with regulatory and compliance requirements related to treasury.

Work arrangement
Yes

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