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Dropbox

Treasury Manager, Cash Management

Posted Yesterday
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Remote
Hiring Remotely in Canada
Senior level
Remote
Hiring Remotely in Canada
Senior level
The Treasury Manager, Cash Management at Dropbox is responsible for global cash management and liquidity. This role involves developing cash management strategies, overseeing cash flow forecasting, managing the investment portfolio, and collaborating with cross-functional teams on financial reporting and planning. The position requires strong analytical skills and the ability to lead intercompany activities while ensuring financial stability.
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Role Description

As the Treasury Manager, Cash Management at Dropbox, you will be responsible for global cash management, liquidity and investments, as well as overseeing related treasury policies, processes and technology solutions. This role will report directly to the Treasury lead. 

 

We are looking for an experienced manager who is detail oriented and motivated to continue developing their career in Treasury. The ideal candidate is a strategic problem solver with a strong ownership mindset. You will collaborate with cross-functional teams as well as Dropbox’s external banking and service partners. This highly visible role is critical to maintaining continued financial stability and optimizing Dropbox’s investment portfolio while providing adequate liquidity to support business operations. In addition, the role will be primarily responsible for leading the cash forecasting process.

Responsibilities

  • Develop and implement cash management strategies to optimize global liquidity and working capital
  • Develop and maintain cash flow forecasting models to ensure sufficient liquidity for ongoing operations 
  • Collaborate with Accounting, FP&A and Tax on cash forecasting, liquidity planning and financial reporting
  • Manage investment portfolio, ensuring alignment with policy and financial objectives 
  • Lead intercompany activities, including the collaboration with Legal and Tax on strategies for legal entity funding/repatriation and capital structure 

Requirements

  • 5+ years of experience in corporate treasury; public company experience preferred
  • Bachelor’s degree in Finance, Accounting or a related field
  • Demonstrated experience transforming cash and investment management in a global organization
  • Strong financial analysis skills, knowledge of financial instruments and proficiency in treasury technology
  • Comfort with ambiguity and able to adapt quickly in a fast-paced environment while embracing change and solving problems
  • Financial modeling expertise in analyzing cash flows and forecasting liquidity
  • Ability to execute and deliver quality results, including managing projects, developing strategy, working collaboratively, influencing senior leaders and distilling complex ideas into clear communications

Preferred Qualifications

  • CFA, CTP or MBA is a plus
  • Familiarity with banking and financial markets
  • Knowledge of regulatory requirements and best practices in treasury operations

Compensation

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