Location
Madrid, Community of Madrid, Spain
Salary
Not specified
Type
fulltime
Posted
Today
Job Description
High-growth, PE-backed global SaaS company. Reports directly to the CFO. This is a build-and-scale mandate, not a maintenance role: the function needs someone who can put structure, systems and controls in place as the business grows internationally.
Role summary:
Own and develop the global treasury function across a multi-currency, internationally distributed SaaS business — cash and liquidity, FX risk, banking and lender relationships, treasury systems, and investor/board reporting
.
Key responsibilities:
- Cash \& liquidity
: global cash positioning and forecasting, cash pooling, intercompany funding, working-capital optimization.
- FX \& financial risk
: design and execute hedging policy across multiple currencies; manage exposure in a global revenue/cost base.
- Debt \& capital structure:
manage credit facilities, covenant compliance and reporting, and relationships with lenders and the PE sponsor; support refinancing and capital-structure decisions.
- Banking relationships:
rationalize and manage the global banking structure, account setup, KYC and bank documentation.
- Treasury systems \& process:
implement and/or optimize a TMS, automate manual processes, and build treasury policies, controls and reporting from the ground up.
- Reporting \& stakeholde
rs: treasury reporting to CFO, board and investors; partner with FP\&A, Accounting and Tax; support M\&A and integration where relevant.
Must-have:
- \~8\+ years in treasury, including senior/managerial scope.
- Hands-on international, multi-currency treasury experience (active FX exposure management).
- Experience
in a PE-backed and/or high-growth sca
le-up environment — comfortable with debt covenants, lender relationships and investor reporting.
- Builder profile:
has built or substantially transformed a treasury function, processes or systems — clear evidence.
- Strong systems/automation orientation; hands-on with a TMS.
- Fluent English
as working language.
- Excellent stakeholder management (banks, lenders, auditors, internal teams).
Nice-to have:
- SaaS / subscription-model fluency (ARR, deferred revenue, SaaS cash dynamics).
- Treasury qualification (ACT / AFP CTP or equivalent).
- M\&A treasury integration experience.
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