Strategic Treasury Manager Specializing in Cash Flow Optimization

toronto, on, Canada • Posted May 26, 2026

Job Type: Full-time
Location: toronto, on
Posted: May 26, 2026
Category: Other-General
Application Deadline: July 05, 2026

Role Description

Elevate cash management strategies as a Treasury Manager. Lead free cash flow modeling, cash forecasting, and work with cross-functional teams to enhance financial insights and operational effectiveness.
As a Treasury Manager, you will collaborate with stakeholders to optimize cash flow processes and provide strategic insights that align with corporate goals. This role emphasizes advanced modeling techniques, forecasting, and working capital management. You will also implement analytical tools for real-time decision support, benefiting your organization’s financial strategy.
Key Responsibilities:
• Design and maintain free cash flow models
• Lead enhancements in cash forecasting processes
• Optimize working capital through collaboration
• Prepare detailed financial reports and presentations
• Mentor a treasury analyst on modeling best practices
Requirements:
• Bachelor's degree in finance or related field
• 7+ years of finance or treasury experience
• P...

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