Manager, Treasury job opportunity at Celsius Holdings, Inc..



Date2026-03-31T14:22:45.579Z bot
Celsius Holdings, Inc. Manager, Treasury
Experience: Highly Experienced
Pattern: Full-time
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Salary:
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Treasury

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degreeMBA
loacation Boca Raton, United States Of America
loacation Boca Raton....United States Of America
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If you’re reading this on your way from 5am spin class to festival fast-pass, you’re CELSIUS®— an everyday hustler with the essential energy to aim high, and go the extra mile wherever your goals take you.  Joyful by design, sunny by nature, and unapologetically bold. If your bestie has you saved in their phone as “Icon,” you’re ALANI NU® — confident, colorful, and bringing main-character energy to every moment.  SoCal in your soul, attitude in your stride. If gravity doesn’t stop you and “impossible” sounds more like “dare you,” you’re ROCKSTAR®— a born rebel, raising the bar with mind-body energy and zero compromise.  ---  Together, we’re Celsius Holdings, Inc.— a global CPG company united by three powerhouse brands and one incredibly talented team.  At Celsius, we pride ourselves on empowering our people. Every employee has a stake in our success. We create a collaborative culture built on inclusivity, innovation, and a belief that great ideas can come from anywhere.  And we’re on our way to building something bigger: a category where energy isn’t just consumed, it’s lived—where performance meets personality, brand becomes community, and every can crack sparks a statement.  This is the future of modern energy. This is Celsius.     Ready to take your career to the next level? Join our team and redefine what it means to be energized.  Position Overview As the Manager of Treasury, you’ll be responsible for leading cash management, liquidity planning, and treasury operations for a high-growth, global consumer packaged goods organization. This is your opportunity to drive cash visibility, optimize working capital, and influence strategic financial decisions while partnering closely with Accounting, FP&A, and Accounts Payable. You’ll play a critical role in enhancing treasury processes, strengthening internal controls, and scaling systems to support business expansion. You’ll bring deep expertise in cash flow forecasting, banking relationships, and treasury operations, along with a proactive, analytical mindset to improve financial performance and support capital planning initiatives. In-Office: Based full-time at CELSIUS® Headquarters in Boca Raton, FL People Management Responsibilities: Yes Role Type: Full-Time Experience: 5–10+ years of treasury, finance, or related experience Education: Bachelor’s degree in Finance, Accounting, or related field MBA, CFA, or CTP certification preferred Experience in cash management, liquidity planning, and global banking operations Knowledge of debt, credit facilities, and capital markets Familiarity with U.S. GAAP, SOX compliance, and internal control frameworks Experience with treasury management systems (TMS) and ERP platforms (e.g., Great Plains) Advanced proficiency in Microsoft Excel and Office 365 Strong analytical, problem-solving, and financial modeling skills Ability to lead cross-functional initiatives and collaborate with finance stakeholders Excellent communication and stakeholder engagement skills Experience operating in a fast-paced, high-growth environment Key Responsibilities Oversee daily cash positioning and manage liquidity across multiple entities and bank accounts Optimize cash concentration structures and global cash utilization strategies Execute and monitor cash disbursements and collections to ensure operational efficiency Own short- and long-term cash flow forecasting and improve forecast accuracy through FP&A collaboration Analyze cash variances and deliver actionable insights to senior leadership Manage banking relationships, including account administration, signatory management, and fee optimization Support financing activities, including credit facilities, debt compliance, and capital structure initiatives Identify and mitigate financial risks related to liquidity, counterparties, and treasury operations Ensure compliance with SOX and maintain strong internal controls over treasury activities Lead treasury system enhancements, automation initiatives, and process improvements Oversee treasury management systems (TMS) and banking platforms, including integrations Partner with Accounts Payable, Accounting, and FP&A to optimize working capital and reporting accuracy Develop treasury dashboards, KPIs, and liquidity reporting for executive visibility Monitor key metrics such as cash conversion cycle, DPO, and working capital trends Lead strategic treasury projects, including bank restructurings, M&A integration support, and process transformations Stay current on treasury best practices, financial markets, and emerging technologies

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