New York, NY
The Treasury Manager will lead the Center’s treasury function, overseeing cash management, banking relationships, investment performance, credit facilities, and global liquidity planning. The position is based in New York City with a hybrid work model. The role combines strategic oversight with operational execution.
Bachelor’s degree in accounting required, MBA or CFA, preferred, 8 years of experience in treasury, investments, or corporate finance; nonprofit/global experience a plus, Proven track record in cash flow forecasting, investment oversight, and banking operations, Experience managing relationships with banks, custodians, and investment managers, Strong leadership, organizational, and communication skills, Ability to translate complex financial data into clear insights for leadership and the Board, Strategic and analytical thinking with strong problem-solving skills, Ability to manage multiple priorities under tight deadlines, High integrity and sound judgment in handling sensitive financial matters, Strong interpersonal skills and commitment to the Center’s mission
Health, Well-being, Investment