1 week ago Be among the first 25 applicants
Company Description
Sandisk understands how people and businesses consume data and we relentlessly innovate to deliver solutions that enable today’s needs and tomorrow’s next big ideas. With a rich history of groundbreaking innovations in Flash and advanced memory technologies, our solutions have become the beating heart of the digital world we’re living in and that we have the power to shape.
Sandisk meets people and businesses at the intersection of their aspirations and the moment, enabling them to keep moving and pushing possibility forward. We do this through the balance of our powerhouse manufacturing capabilities and our industry-leading portfolio of products that are recognized globally for innovation, performance, and quality.
Sandisk has two facilities recognized by the World Economic Forum as part of the Global Lighthouse Network for advanced 4IR innovations. These facilities were also recognized as Sustainability Lighthouses for breakthroughs in efficient operations. With our global reach, we ensure the global supply chain has access to the Flash memory it needs to keep our world moving forward.
Job Description
We are seeking a skilled and experienced Treasury Manager to join our team in Ireland, United Kingdom. As a key member of our treasury department, you will be responsible for managing the company's European bank relationships, bank accounts, and liquidity while ensuring compliance with regulatory requirements.
* Manage daily cash positions, forecasting, and reporting for multiple entities and currencies
* Ensure available liquidity is adequate, initiate and release local and foreign currency wires and ACH type payments
* Assist payroll teams
* Work with the US treasury team to analyze and mitigate foreign exchange through appropriate hedging strategies
* Maintain relationships with banks and financial institutions
* Ensure compliance with financial regulations and internal policies
* Lead local treasury-related projects and process improvements
* Collaborate with cross-functional teams to support treasury activity throughout the EMEA region
* Prepare and present regular treasury reports to senior management
Qualifications
* Bachelor's degree in Finance, Accounting, or related field; professional certification (e.g., CTP, CFA) preferred
* Minimum 5-7 years of experience in treasury management or related field
* Proficiency in treasury management systems and advanced Excel skills
* Excellent analytical and problem-solving abilities
* Demonstrated experience in cash flow analysis
* Solid understanding of financial regulations and compliance requirements
* Strong communication and interpersonal skills
* Ability to work effectively in a fast-paced, dynamic environment
* Experience in corporate finance or banking is a plus
Additional Information
Sandisk thrives on the power and potential of diversity. As a global company, we believe the most effective way to embrace the diversity of our customers and communities is to mirror it from within. We believe the fusion of various perspectives results in the best outcomes for our employees, our company, our customers, and the world around us. We are committed to an inclusive environment where every individual can thrive through a sense of belonging, respect, and contribution.
Sandisk is committed to offering opportunities to applicants with disabilities and ensuring all candidates can successfully navigate our careers website and our hiring process. Please contact us at jobs.accommodations@sandisk.com to advise us of your accommodation request. In your email, please include a description of the specific accommodation you are requesting as well as the job title and requisition number of the position for which you are applying.
#J-18808-Ljbffr