Vice President, Corporate Treasurer

Peraton

Reston, Virginia

JOB DETAILS
SALARY
$190,000–$304,000 Per Year
SKILLS
Accounting, Analysis Skills, Asset Management, Balance Sheet, Bank Management, Banking Services, Bond Market, Business Administration, Capital Markets, Cash Flow, Cash Management, Chartered Financial Analyst (CFA), Commercial Banking, Communication Skills, Continuous Improvement, Corporate Finance, Cost of Capital, Cross-Functional, Derivatives, Economics, Fiduciary, Finance, Financial Planning and Analysis (FP&A), Financial Strategy, Forecasting, Hedge Funds, Insurance, Interest Rates, Investor Relations, Leadership, Legal Support Skills, Liquidity, Loans, Market Tracking, Marketing Strategy, Mentoring, Mergers and Acquisitions, Metrics, Operations Management, Performance Analysis, Property Insurance, Purchasing/Procurement, Regulatory Requirements, Relationship Management, Retirement Plan, Risk, Risk Analysis, Risk Management, Stewardship, Strategic Analysis, Treasury, United States Citizen
LOCATION
Reston, Virginia
POSTED
30+ days ago
Responsibilities:

Peraton is seeking an accomplished and strategic Vice President, Corporate Treasurer to lead the company’s global treasury function for a highly leveraged, complex capital structure. This executive will oversee all aspects of capital markets strategy, cash and liquidity management, interest rate risk, insurance programs, rating agency and banking relationships, and retirement plan governance. The VP will play a critical role in shaping asset allocation strategy and ensuring fiduciary excellence.

 

Key Responsibilities

 

Capital Structure & Capital Markets

  • Manage and optimize a highly leveraged debt capital structure, including term loans, bonds, revolving credit facilities, and associated covenants.
  • Lead strategic evaluation of refinancing, restructuring, and new financing opportunities to support the company’s long‑term strategy.
  • Monitor market conditions to advise senior leadership on cost of capital, leverage metrics, and capital structure improvements.

Cash, Liquidity & Risk Management

  • Oversee enterprise‑wide cash flow forecasting, liquidity planning, and working capital optimization.
  • Ensure robust treasury controls, efficient global cash operations, and compliance with internal policies and external regulatory requirements.
  • Manage interest rate risk, including hedging strategies, derivative usage, and scenario modeling.

Banking, Investor & Rating Agency Relationships

  • Serve as primary relationship manager with commercial banks, administrative agents, trustees, and other financial counterparties.
  • Lead ongoing engagement with rating agencies, preparing materials, presenting financial strategy, and maintaining transparency and credibility.

Insurance & Risk Financing

  • Oversee all aspects of the company’s insurance programs, including property, casualty, cyber, and other corporate risk lines.
  • Evaluate risk exposure and secure adequate coverage aligned with enterprise risk management priorities.

Retirement Plans & Investment Committee Leadership

  • Chair the Retirement Plans Investment Committee, overseeing governance, investment policy, asset allocation, manager selection, and performance monitoring for defined benefit, defined contribution, and other retirement plans.
  • Ensure all fiduciary responsibilities are executed with prudence, compliance, and long‑term financial stewardship.

Strategic Leadership & Cross-Functional Collaboration

  • Serve as a trusted advisor to the CFO and executive leadership, providing forward‑looking financial insights and recommendations.
  • Partner with FP&A, Accounting, Procurement, and Legal to support forecasting, M&A evaluations, cash deployment, and contract structuring.
  • Lead, mentor, and develop a high‑performing treasury team with a culture of operational excellence, accountability, and continuous improvement.
Qualifications:

Qualifications

  • Bachelor’s degree in finance, economics, or related field required; MBA, CFA, or CTP certification preferred.
  • 15+ years of progressive experience in treasury, corporate finance, or capital markets, ideally within complex, highly leveraged environments.
  • Deep expertise in debt financing, liquidity management, risk management, and banking/investor relations.
  • Demonstrated leadership managing multi‑billion‑dollar balance sheet and capital structure decisions.
  • Experience overseeing retirement plan investments and serving on or leading an investment committee strongly preferred.
  • Strong analytical, communication, and relationship‑building skills, with the executive presence to influence internal and external stakeholders.
  • US Citizenship
Target Salary Range: $190,000 - $304,000. This represents the typical salary range for this position. Salary is determined by various factors, including but not limited to, the scope and responsibilities of the position, the individual’s experience, education, knowledge, skills, and competencies, as well as geographic location and business and contract considerations. Depending on the position, employees may be eligible for overtime, shift differential, and a discretionary bonus in addition to base pay.

About the Company

P

Peraton

Peraton drives missions of consequence spanning the globe and extending to the farthest reaches of the galaxy. As the world’s leading mission capability integrator and transformative enterprise IT provider, we deliver trusted and highly differentiated national security solutions and technologies that keep people safe and secure. Peraton serves as a valued partner to essential government agencies across the intelligence, space, cyber, defense, civilian, health, and state and local markets. Every day, our employees do the can’t be done, solving the most daunting challenges facing our customers.
COMPANY SIZE
10,000 employees or more
INDUSTRY
Government and Military
WEBSITE
https://careers.peraton.com/