Seaspan
Manager, Treasury and Finance (Finance)
The Treasury Manager will be responsible for overseeing the organization's cash management, liquidity planning, banking relationships, and risk management strategies. This role requires a strong understanding of treasury operations, financial risk management, and compliance with regulatory requirements. The Treasury Manager will collaborate with internal stakeholders, including accounting, FP&A, and business units, to optimize cash flow and support strategic financial decisions.
Note: This position qualifies for an optional hybrid work schedule after 90 days of onsite work and onboarding. Employee will be subject to the terms of the Flexible Work Policy Agreement.
What you'll do