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SAIC is seeking an experienced Senior Treasury Manager to lead critical treasury operations, cash flow forecasting, bank relationship management, financial risk analytics, and corporate financing transactions. This highly visible role combines hands-on liquidity & cash flow management with strategic responsibilities in capital structure and financing execution. You will work closely with the Treasurer, various internal stakeholders, and banking partners to strengthen SAIC’s financial resilience and support long-term growth. This opportunity can be worked 100% remotely for the right candidate.
What You Will Do
Oversee cash positioning, forecasting, and liquidity planning
Maintain short- and long-term cash flow forecasts incorporating inputs from FP&A, Tax, Accounting, and Financial Shared Services; conduct variance analysis and deliver insights to senior leadership
Oversee key treasury operations including cash settlements & bank administration
Manage AR Sale Facility activities including journal entry preparation and cash receipts reconciliation
Prepare internal leadership updates on capital structure and capital deployment activities including BoD presentations
Assist with bank, lender, and rating agency relationship management
Evaluate capital structure alternatives and provide recommendations on corporate financing transactions including term loans and bonds
Track share repurchase program activities; perform valuation analysis and provide recommendations on share repurchase program structure
Monitor market conditions, rates, spreads, and peer activity to advise on financing windows
Controls, Compliance & Governance
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Premier technology integrator for defense, space, and civilian markets.
Visit company websiteJobs and hiring trendsUSD 160001-200000 yearly / year
Full-time
Senior · 15+ years experience
Remote
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