CAREERS AT CIMPRESS

JOB ID: 26488

Treasury Manager

Category: Finance

Location: Dublin (Ireland)

Business: Cimpress Services

APPLY TO THIS JOB

Welcome to Cimpress, the world leader in mass customization. We are audacious, innovative and growing.

This is your opportunity to join the finance team of Cimpress, the world leader in mass customization.  The Treasury Manager role is a newly created role to ensure that Treasury continues to support the growth of Cimpress. The role will manage core aspects of Cimpress’ cash management operations in support of our decentralized portfolio of businesses and will be responsible for the company’s daily liquidity and borrowing procedures, notional cash pooling, intercompany netting program, and recommending and managing effective global intercompany financing agreements. The position will report to the Director of Treasury and will work other members of the global Treasury and Finance teams.  This role will be based in Dublin, Ireland.

 

This role will:

  • Manage global cash management activities including cash positioning, borrowing, investing, and processing cash movements in line with the Cimpress Treasury policies
  • Lead banking and cash management support of our portfolio of European businesses, acting as escalation point for local team inquiries related to payments, cash management and bank account issues
  • Evaluate and recommend changes to current bank account structure to determine optimal formation, and oversee the execution of new structures where required
  • Manage intercompany netting program for company’s transfer pricing and intercompany loan agreements
  • Oversee global T&E card program, including oversight of dedicated financial analyst located remotely
  • Responsible for aspects of month-end closings activities, including the review of accounting entries
  • Facilitate the opening of new bank accounts and the establishment of new cash management services
  • Assist in completion of year-end Treasury audit and ensure compliance with SOX requirements
  • Communicate effectively with local finance teams and the corporate tax and legal departments to ensure efficient cash movements
  • Evaluate and recommend new banking products and services and technologies
  • Perform ad hoc analysis and support special projects as needed

 

Qualifications:

  • Bachelor’s degree required (Finance, Business Administration, or Accounting preferred)
  • 5+ years of Treasury experience in a multinational public corporation
  • Strong organizational skills and attention to detail
  • Working knowledge of relevant areas of accounting and finance
  • Proven problem solver with the ability to work independently to research, test hypotheses, arrive at conclusions and make recommendations
  • Ability to handle multiple tasks under tight deadlines
  • Strong analytical and problem-solving skills and ability to communicate the results
  • Good command of Microsoft office suite of tools
  • Experience with SAP preferred
  • CTP designation and/or MBA is preferred

 

At Cimpress, we produce millions of affordable, highly customized, personalized physical products for small businesses and consumers. We’re boldly going where no one has gone before here at Cimpress: the scale, complexity and sheer scope of what we do requires us to innovate and solve problems that haven’t been solved before. With $2.6BB in revenue and 40+ offices and manufacturing facilities across the globe creating more than 46 million uniquely designed items annually that serve over 17 million customers worldwide, we’re a unique combination of stability, strength, growth and innovation. We’re also a place where ideas matter, whether they come from our newest or most senior team members. There’s also a lot of fun that goes with doing things no one has ever done before and you can feel it.