Sr. Manager, Treasury

Smartsheet

Bellevue, WA

JOB DETAILS
SALARY
$147,500–$192,500 Per Year
JOB TYPE
Full-time, Employee
SKILLS
Accounting, Analysis Skills, Automation, Bank Management, Banking Services, Business Case, Business Strategy, Capacity Management, Capital Allocation, Cash Management, Change Management, Channel Strategies, Continuous Improvement, Debt Management, Documentation, Finance, Financial Compliance, Financial Planning and Analysis (FP&A), Forecasting, Foreign Exchange (FX), Funding, Internal Audit, Investment Management, Investment Reporting, Investment Strategy, Leadership, Liquidity, Loans, Maintain Compliance, Mentoring, Mergers and Acquisitions, Negotiation Skills, People Management, Process Management, Reconciliation, Regulations, Regulatory Compliance, Regulatory Requirements, Requirements Management, Risk Management, Sarbanes-Oxley Act (SOX), Scalable System Development, Third-Party Payer, Time Management, Treasury, Treasury Management, Value-Added Tax (VAT)
LOCATION
Bellevue, WA
POSTED
Today

The ideal candidate brings deep treasury expertise combined with a genuine strategic orientation - someone who can build and own a liquidity framework, manage global banking relationships, and drive technology transformation while staying close enough to the details to know when something is off. You are comfortable with complexity, operate well without a playbook, and take pride in building a function that runs with precision and purpose.

What You'll Do

  • Own Smartsheet's global liquidity position, including cash concentration strategy, entity-level funding decisions, and intercompany fund movements across a global structure
  • Develop and maintain a rolling cash forecast model used to inform capital allocation, FCF reporting, and investment decisions; collaborate with FP&A and Accounting on alignment to plan
  • Define and execute investment strategy in coordination with Finance leadership, balancing yield optimization against liquidity needs; manage the investment portfolio in alignment with company liquidity objectives
  • Proactively model cash positioning scenarios to support strategic decisions including M&A, debt service, and one-time capital requirements
  • Manage foreign currency exposure across a multi-currency operating environment; monitor FX risk and recommend mitigation strategies as appropriate
  • Oversee debt management activities including monitoring compliance with financing agreements, coordinating with lenders, and supporting reporting obligations tied to the company's capital structure
  • Own and evolve Smartsheet's banking relationships across primary partners, including annual reviews, service negotiations, and capacity planning
  • Lead bank rationalization and account structure decisions, including new account openings, closures, and optimization of the global account footprint
  • Serve as senior escalation point for complex cross-border payment issues; engage bank leadership directly to resolve systemic or time-sensitive matters
  • Drive the global corporate card program strategy, including program design, limit structure, and governance
  • Ensure timely and accurate execution of all global payment obligations, including cross-border payrolls, tax payments, VAT/GST remittances, and intercompany transfers across 10+ countries
  • Maintain ownership over treasury-specific regulatory obligations including FBAR, Germany Z4 filings, and Bulgaria pre-clearance processes; proactively identify and manage emerging regulatory requirements as the company enters new markets
  • Own treasury SOX control framework, including documentation, evidence, and coordination with Internal Audit
  • Lead the evaluation, selection, and implementation of a Treasury Management System (TMS), driving the business case, vendor process, and change management
  • Identify and own automation opportunities across payment workflows, cash reporting, and reconciliation; build toward a scalable treasury operating model
  • Lead and develop a team of 2-3 treasury professionals, fostering a culture of accuracy, ownership, and continuous improvement
  • Act as the primary treasury partner to key internal stakeholders on treasury-relevant matters
  • Represent treasury in M&A diligence and integration activities, including cash positioning analysis, entity structure considerations, and banking transitions
  • Contribute to third-party payment strategy alongside Payroll, HR, and Accounting leadership

What You Bring

  • 10-12+ years of progressive treasury experience
  • 3+ years of people management or mentorship experience
  • Experience managing global cash and investment portfolios in a multi-entity, multi-currency company
  • Deep knowledge of global banking platforms, payment rails, and regulatory compliance across multiple jurisdictions
  • Prior TMS implementation experience strongly preferred
  • Proven ability to operate as a strategic partner to Finance and executive leadership, including building and communicating liquidity scenarios and investment strategy
  • Strong people leadership instincts - experience building and developing treasury teams
  • High comfort navigating ambiguity; capable of building scalable processes in a lean, high-growth environment


Smartsheet is an Equal Opportunity (EEO) employer committed to fostering an inclusive environment with the best employees. It is our policy to provide equal employment opportunities to all qualified applicants in accordance with applicable laws in the US, UK, Australia, Germany, Costa Rica, Japan, Bulgaria, and India. All qualified applicants will receive consideration without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, protected veteran or disabled status, or genetic information. 


About the Company

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Smartsheet