About the position
Reporting to the VP Treasurer, you’ll lead the company’s global treasury strategy—optimizing international cash flow, managing liquidity, and reducing third-party borrowings. This is your opportunity to shape financial efficiency on a global scale and make a lasting impact.
Responsibilities
• Coordinates and reviews cash forecasting for international operations
• Manages ongoing reporting of selected global debt and liquidity metrics, including but not limited to debt compliance workbooks.
• Serves as international loan officer and ensures sufficient tax-compliant intercompany loan or equity documentation exists worldwide
• Oversees and drives the timely clearance of intercompany transactions
• Optimizes cash balances and banking partnerships
• Forecasts and reports FX risks in a timely manner to enable effective risk management decisions
• Develops and implements international treasury policies
• Participates in international insurance renewal process as needed
• Serves as backup to VP Treasurer
• Assists in other treasury-related projects as needed
• Upholds the Crawford Code of Conduct
Requirements
• Bachelor degree in Finance, Accounting or a related field, or equivalent combination of education and work experience
• At least ten (10) years of progressive experience in a corporate finance, treasury and/or banking environment
• Good math skills
• Good oral and written communication skills
• Basic competency with spreadsheet, word processing and presentation software
• Familiarity with enterprise resource planning (ERP) and/or treasury software preferred
Nice-to-haves
• Certified Treasury Professional (CTP) preferred