Treasury Manager
Company: Fossil Group
Location: Richardson
Posted on: April 1, 2026
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Job Description:
Make An ImpactWe are seeking a strategic and execution-focused
Treasury Manager to join our Treasury and Corporate Finance team.
In this role, you will own the company’s global liquidity execution
and treasury infrastructure, translating high-level strategy into
daily control of cash, risk, and capital structure. An ideal
candidate is a "builder" who thrives in ambiguity, possesses a
strong control mindset, and can maintain a calm, structured
approach in fast-paced or leveraged environments. This role is a
hybrid position, requiring you to be onsite Monday through
Thursday, with the option to work remotely on Fridays. You will
report directly to the VP of Treasury. What you will do in this
role: Monitor balances in cash pools and coordinate intercompany
funding to meet subsidiary cash requirements. Manage day-to-day
liquidity, including domestic and international cash positioning
and forecasting. Lead and enhance the 13-week cash forecasting
process, including variance analysis and reporting to management.
Compile, analyze, and present financial information for weekly,
monthly, quarterly, and year-end management reporting. Partner with
foreign finance teams to review and validate cash flow projections.
Identify and implement treasury best practices to optimize
liquidity, working capital, and financial risk management. Develop,
maintain, and document cash management procedures, guidelines, and
treasury policies. Prepare revolver borrowing recommendations and
support debt drawdowns and repayments. Monitor debt covenant
compliance and prepare related calculations, certifications, and
lender reporting. Oversee foreign currency trades using FXall (or
similar platforms) and prepare supporting documentation for FX
hedging activities. Assist with forecasting foreign currency
hedging gains and losses. Support liquidity management initiatives,
including monitoring and analyzing corporate banking fees. Oversee
cash movements, intercompany settlements, and reconciliation of
intercompany balances.Prepare interest expense estimates for
forecasts, budgets, and long-range planning. Support treasury
systems, controls, audits, and compliance activities. Collaborate
cross-functionally with Accounting, Tax, FP&A, and external
banking partners. Support and continuously improve day-to-day
Treasury operations and controls. Who You AreRequirements: A
Bachelor’s degree in Finance, Accounting, or a related discipline
5–10 years of progressive experience in Treasury, Finance, or
Accounting Strong understanding of cash management, liquidity
forecasting, debt, and foreign exchange Experience working with
global teams and multi-currency environments Proficiency with
treasury management systems (TMS), banking platforms, and advanced
Excel Strong analytical, organizational, and communication skills
Ability to manage multiple priorities in a fast-paced environment
High level of accuracy and discretion. Preferred Qualifications: A
Certified Treasury Professional (CTP) certification What We Offer
Comprehensive Benefits: Includes health and well-being services
Retirement Planning: 401(k) match and educational resources Paid
Parental Leave & Return to Work Program: Support for new parents
and caregivers Generous Paid Time Off: Floating Holidays, Sick
Time, Personal Days, Summer Flex Fridays Work Flexibility: Hybrid
schedule plus “Work-From-Anywhere” options Tuition Reimbursement:
Support for approved educational programs Employee Discounts: Enjoy
savings on Fossil merchandise
Keywords: Fossil Group, Garland , Treasury Manager, Accounting, Auditing , Richardson, Texas