Treasurer

Location: Jersey City, NJ, United States
Department: Finance
Posted Date: 6/16/2026

About AvePoint

AvePoint is the global leader in data protection, unifying data security, governance, and resilience to provide a trusted foundation for AI. More than 28,000 customers rely on the AvePoint Confidence Platform to secure, govern, and rapidly recover data across Microsoft, Google, Salesforce, and other cloud environments. With a single platform for lifecycle control, multicloud governance, and rapid recovery paired with clear ownership across the business, we prevent overexposure and sprawl, modernize legacy and fragmented data, and minimize data loss and interruption. Our global partner ecosystem includes approximately 6,000 MSPs, VARs, and SIs, and our solutions are available in over 100 cloud marketplaces. To learn more, visit www.avepoint.com.


Overview: 

We are seeking an experienced Treasurer in Jersey City, NJ to lead the company’s global treasury function, with responsibility for liquidity management, banking infrastructure, financial risk management, treasury operations, and global treasury structures such as cash pooling and hedging programs. This role will oversee cash planning, bank relationship management, bank-to-ERP portal connectivity, process automation, hedging activities, and cash pooling structures to improve visibility, control, and efficiency across treasury operations. The ideal candidate combines strong technical treasury expertise with strategic thinking, disciplined risk management, and the ability to partner effectively with finance, accounting, taxes and legal. 

Key Responsibilities 

Cash & Liquidity Management 

  • Oversee global cash positioning, forecasting, and liquidity planning across multiple entities and currencies 
  • Develop and maintain short- and medium-term cash forecasts to support operational and strategic decision-making 
  • Optimize working capital and ensure sufficient liquidity for operations, investments, and financing activities 
  • Partner with FP&A and accounting to align cash forecasts with financial plans 

Banking & Treasury Infrastructure 

  • Manage global banking relationships, including account structures, signatories, and service optimization 
  • Maintain and strengthen banking relationships, negotiate services and fees, and evaluate banking technology capabilities and service performance 
  • Lead initiatives to streamline banking platforms and reduce fragmentation across portals and systems 
  • Implement and enhance host-to-host / API connectivity between ERP/TMS and banking partners 
  • Drive global cash visibility through centralized dashboard 

Process Automation & Systems 

  • Identify and implement automation opportunities across treasury operations (payments, reconciliation, reporting) 
  • Lead treasury transformation initiatives, including ERP integration 
  • Reduce manual processes by enabling straight-through processing and standardized workflows  

Cash Pooling & Capital Structure 

  • Design and manage global cash pooling structures (physical or notional) to optimize liquidity and interest efficiency 
  • Oversee intercompany funding strategies, including loans, dividends, and repatriation decisions 
  • Support capital allocation and investment decisions in line with corporate policy 

Risk Management (FX, Interest Rate, Counterparty) 

  • Develop and execute hedging strategies to manage foreign exchange and interest rate risks 
  • Monitor and manage counterparty risk across banking and investment partners 
  • Establish and maintain treasury policies and controls for financial risk management 

Governance & Compliance 

  • Ensure strong internal controls over treasury activities, including bank access, payments, and approvals 
  • Maintain compliance with internal policies, audit requirements, and regulatory frameworks 
  • Partner with accounting, legal, and internal audit teams on treasury-related matters 
  • Support strategic initiatives, mergers and acquisitions, financings, and organizational change efforts from a treasury and liquidity perspective. 
  • Identify opportunities to modernize treasury infrastructure, improve scalability, and enhance operational resilience. 

 

Qualifications 

  • Bachelor’s degree in Finance, Accounting, Economics or related field; MBA, CPA, CFA, or CTP preferred. 
  • 10+ years of progressive treasury experience, preferably in a global organization 
  • Proven expertise in:  
  • Cash forecasting and liquidity planning 
  • Bank relationship management and account structures 
  • ERP/TMS integration and bank connectivity (host-to-host, APIs, SWIFT) 
  • Treasury process automation and transformation 
  • FX hedging and financial risk management 
  • Cash pooling (notional and/or physical) 
  • Debt management, covenant monitoring, and working capital optimization. 
  • Strong knowledge of treasury controls, compliance, and audit requirements 
  • Experience with NetSuite or similar ERP systems preferred 

Key Competencies 

  • Strategic thinking with strong operational execution 
  • High attention to detail and control mindset 
  • Ability to simplify complex global treasury structures 
  • Strong stakeholder management across finance, banking partners, and executive leadership 
  • Results-oriented with a focus on efficiency and scalability 

The Salary Range for this role is $175,000 - $210,000. At AvePoint, we strive to offer competitive, fair, and equitable total rewards. The listed salary range represents a good faith estimate, with final offers based on location, experience, skills, and qualifications. The listed range reflects base salary only; our total rewards include base salary, comprehensive benefits (medical, dental, vision, 401(k) with match, unlimited PTO), and depending on the role, bonuses, commissions, or equity (RSUs). We welcome compensation discussions—apply even if your expectations fall outside the range.

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Why AvePoint?

We are invested in the success of our colleagues, partners, customers, and community. We do this by promoting global collaboration and taking pride in helping, sharing, mentoring, and coaching each other.

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