Director, Treasury

Independence Pet Group
Long Island City, New York, US
Full-time
We are sorry. The job offer you are looking for is no longer available.

Independence Pet Holdings (IPH) is one of North America’s largest pet insurance and services organizations. Our impressive family of brands supports insurance for more than 1,000,000 pets in the U.

S. and Canada and provides well-being, safety, resources, and business solutions to the pet industry, including microchip identification and an online pet registry.

Skills, Experience, Qualifications, If you have the right match for this opportunity, then make sure to apply today.

IPH’s mission is to strengthen the unique bond between pets and their people through our family of innovative products and services.

We understand how important pets are : they’re family. Our pack of 1,200 team members embodies a shared passion for positively impacting the lives of our four-legged friends.

Job Summary :

IPH is seeking a Director, Treasury responsible for supporting the cash and investing activities for all businesses across North America.

An experienced treasury professional, working closely with finance leadership across our assets to promote efficiencies, internal control, and compliance.

This key position is expected to be a strategic thought partner, driving capital efficiency, and ensuring the company’s treasury function supports maximizing long-term value creation.

The Director, Treasury reports to the VP, Group Controller-IPH. This role’s responsibilities span across establishing consistent and fundamental processes & procedures within a modern treasury function, standardizing key performance metrics reporting, promoting transparency, and facilitation of communication streams across brands, all while producing reliable cash, credit, and investment management.

This is a rapidly growing organization. The drive to deliver timely and effective results in a fast-paced environment is required for this role to be successful.

Location : New York City with 15% travel

Main Responsibilities :

  • Management of the daily liquidity for our portfolio of brands.
  • Preparation of weekly and monthly cashflow reports.
  • Partner with finance leaders of our brands to monitor cash flow funding plans, among other liquidity requirements. This includes preparing documentation and facilitating payments for intercompany interest, capital contributions, and dividends.
  • Review fund transfers and alignment of cash accounts on a recurring basis.
  • Develop and maintain policies related to treasury activities and treasury management.
  • Ensure that all proper controls, both internal and regulatory, are in place, documented, and actively followed.
  • Actively engage with the controller and FP&A leader to understand and implement planning actions around forecasted cash inflows and outflows.
  • Establish and apply impactful key performance indicators and internal communication mechanisms.
  • Create and design cash flow and working capital reporting for business and executive leaders, and other committees.
  • Assist with cash flow statement projections.
  • Develop and manage our new treasury management system, while identifying and implementing opportunities to automate processes.
  • Establish and maintain strong banking relationships.
  • Manage bank account administration to promote efficiencies and streamlined processes for cash movements.
  • Develop and implement risk mitigation strategies.
  • Own fixed income investment portfolio. Serve as the primary contact with investment advisors.
  • Work with internal M&A partners on acquisition funding.
  • Manage corporate cards and enforce policies.
  • Other duties as assigned.

Qualifications :

10+ corporate treasury, banking, or relevant experience to include leadership.

Preferred Qualifications :

  • Degree in Finance, Economics or Accounting
  • Strong understanding of bank regulations, compliance, and investment options.
  • Expertise in cash management, general treasury principles and processes.
  • General accounting knowledge.
  • High level of familiarity with treasury platforms.
  • Proven track record of delivering solutions with a company-first mindset.
  • Experience with Treasury Management Systems including selection and implementation.
  • Experience with global transactions with multiple currency transactions options.

All of our jobs come with great benefits including healthcare, parental leave and opportunities for career advancements. Some offerings are dependent upon the location of where you work and can include the following :

  • Basic Life Insurance at no cost to the employee
  • Company paid short-term and long-term disability
  • 12 weeks of 100% paid Parental Leave
  • Health Savings Account (HSA)
  • Flexible Spending Accounts (FSA)
  • Retirement savings plan
  • Personal Paid Time Off
  • Paid holidays and company-wide Wellness Day off
  • Paid time off to volunteer at nonprofit organizations
  • Pet friendly office environment
  • Group Pet Insurance
  • On the job training and skills development
  • Employee Assistance Program (EAP)

IPH welcomes and encourages applications from people with disabilities. Accommodations are available on request for candidates taking part in all aspects of the selection process.

J-18808-Ljbffr

12 days ago
Related jobs
Bank of America
New York, New York

Creating and driving formalized routines with all regions and key business partners such as Product Management, Treasury Sales, Relationship Management, Implementations, Customer Service, Account Management and Product Sales, and executive leadership. Conducting and leading client presentations in p...

EmblemHealth
New York, New York

Treasury experience with a deep knowledge of key Treasury concepts and a demonstrated growth in experience and responsibilities (R). Direct and develop the Liquidity Management & Forecasting, Treasury Operations, and Remittance Processing functions. Work directly with the Treasurer to continually ev...

Morgan Stanley
New York, US

Corporate Treasury Forecasting & Planning, Director/AVP. TreasuryEmployment Type:Full TimeJob Level:Director. ...

Bank of America
New York, New York

As a VP or Director Treasury Sales Officer (TSO) aligned to Global Commercial Banking’s Transformative Technology Group, you’ll partner closely with Relationship Managers (RMs) while overseeing a portfolio of US based, globally oriented Tech companies with annual revenues of $50 million to $2 billio...

Morgan Stanley
New York, US

Liquidity Planning & Coverage, Treasury – Associate/Director (AVP). In addition, this individual will also provide support to other areas of Treasury such as the Treasury Capital Markets team and/ or the Capital Planning team, as required. FinanceEmployment Type:Full TimeJob Level:Director. Provide ...

GEICO
Queens, New York

Treasury team! The Director for Payments is a key leadership position and will report to the Treasurer. This is a great opportunity for someone looking to add immediate value and impact to a fast-changing company and help evolve the Treasury function. The Director will be responsible for various asp...

Open Systems Technologies
New York, New York

A financial firm is looking for an Executive Director of Fixed Income/Treasury Ops to join their team in New York, NY. Subject matter expert of treasury settlement, self-clearing, tri-party, treasury auction. Oversee about 30 staff responsible for middle office, settlement and reporting for the Trea...

Whistle
New York, New York

A rapidly growing SAAS company is seeking a Director, Treasury to join its Finance leadership team. This role will partner with key stakeholders in the Finance organization to lead the Company's Treasury function including cash management, forecasting, banking administration, credit compliance repor...

ACG Resources
New York, New York

...

American Express
New York, New York

Effectively challenge the First- and Second-line Treasury and Risk Management teams to ensure that the key governance, risk management and internal control processes are adequately designed and operating effectively over time. LoD Treasury (Liquidity/Capital) and/or 2nd LoD Risk Oversight or at a ma...