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Overview
Lead / Manager

Treasury Manager

Confirmed live in the last 24 hours

Commvault

Commvault

Compensation

$93,500 - $163,300/year

United States
Remote
Posted April 20, 2026

Job Description

Recruitment Fraud Alert

We’ve learned that scammers are impersonating Commvault team members—including HR and leadership—via email or text. These bad actors may conduct fake interviews and ask for personal information, such as your social security number.  

What to know:

  • Commvault does not conduct interviews by email or text.
  • We will never ask you to submit sensitive documents (including banking information, SSN, etc) before your first day.

If you suspect a recruiting scam, please contact us at wwrecruitingteam@commvault.com 

 

About Commvault 

Commvault (NASDAQ: CVLT) is the gold standard in cyber resilience. The company empowers customers to uncover, take action, and rapidly recover from cyberattacks – keeping data safe and businesses resilient. The company’s unique AI-powered platform combines best-in-class data protection, exceptional data security, advanced data intelligence, and lightning-fast recovery across any workload or cloud at the lowest TCO. For over 25 years, more than 100,000 organizations and a vast partner ecosystem have relied on Commvault to reduce risks, improve governance, and do more with data. 

The Opportunity...

We are seeking a Treasury Manager who will help shape a newly established Treasury function. As a member of the Treasury team, you’ll play a key role in providing valuable insights and collaborate with cross-functional teams to support the company’s operation. The role will involve capital markets, cash flow forecasting, investment management (SMA’s), foreign exchange, bank account management, automation and more.
 

What You'll Do...

  • Support capital market transactions and evaluate capital structure i.e.) convertible notes, debt issuances, credit facilities and share repurchases.
  • Assist with capital allocation strategies and peer analysis and reporting.
  • Ensure compliance with all debt covenants and reporting requirements outlined in loan agreements and credit facilities.
  • Manage excess cash and investments in accordance with the Investment Policy, including custodial relationships and separately managed accounts (SMAs), monitor performance, risk, and compliance. i.e.) Clearwater reporting
  • Own U.S. daily liquidity and cash positioning and lead the global cash flow forecasting process by building and maintaining a consolidated, multi-currency forecast model with scenario and sensitivity analysis to support funding, investment, and risk-management decisions.
  • Develop working capital analytics and recommendations (AR/AP timing, intercompany funding, vendor/customer terms) to improve forecasting accuracy and cash efficiency.
  • Drive automation and optimization of treasury processes and systems for efficiency and scalability. i.e.) Treasury systems, dashboards
  • Quantify and analyze the company-wide foreign currency transactions, economic, and translation exposures.
  • Partner with Tax, Legal, FP&A and Accounting teams to execute capitalizations, intercompany loans, intercompany settlements, and other treasury operation projects.
  • Ensure compliance with Treasury controls, external regulatory requirements and assist in all quarterly and annual review and audit requests.
  • Assist in supporting regular compliance requests, creating new bank accounts when required, managing documentation requests.
  • Support M&A transactions and integration from a Treasury standpoint (banking set up, cash management, integration of forecasts, investments, and controls).
     

Who You Are... 

  • Bachelor’s degree or Master’s degree in accounting, finance or related field i.e.) CPA, CFA or CTP
  • 7 to 10+ years of relevant treasury professional experience
  • Experience in a publicly traded company is highly preferred, with knowledge of SOX compliance and regulatory requirements.
  • Strong experience in multiple areas within treasury including Capital Markets, Cashflow forecasting, Treasury Operations, FX, and Investment Management.
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