Strategic Treasury Director: Cash & Debt Leadership
About the role
Conga in Boston is seeking a Treasury Director to lead day-to-day treasury operations, cash forecasting, liquidity planning, and bank relationship management. This role blends treasury fluency with accounting rigor, including building 13-week cash flow models across entities and currencies.
The successful candidate will own debt accounting and covenant compliance end-to-end, partnering with Accounting and FP&A to provide clear disclosures. Hybrid work and strong compensation are offered.
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