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Summary
Manager of Treasury and Risk Management at OCLC overseeing daily treasury operations, cash management, investments, debt servicing, and insurance functions while advising Finance leadership on strategic financial goals. This hybrid role in Dublin, Ohio involves collaborating across teams and managing projects impacting the organization's cash management and financial position.
Job Description
Fast Facts
OCLC is seeking a Manager of Treasury and Risk Management to oversee treasury and insurance functions and advise Finance leadership on cash management. This role involves collaborating with various teams and engaging in projects related to treasury, insurance, and real estate.
Responsibilities: Manage daily treasury operations, including cash management, investments, debt servicing, insurance operations, and real estate projects. Provide strategic input for finance goals and ensure compliance with financial controls and reporting.
Skills: Knowledge of cash management and risk management principles, strong analytical skills, excellent communication and interpersonal capabilities, and advanced Microsoft Office skills.
Qualifications: Bachelor’s degree in Accounting or Finance; advanced certification such as Certified Treasury Professional is desirable; over 7 years of relevant experience in finance and accounting.
Location: Corporate Office - Dublin, United States of America
Compensation: Not provided by employer. Typical compensation ranges for this position are between $90,000 - $130,000.
You have a life. We like that about you.
At OCLC, we believe you'll do the best work of your life when you're living the best life possible.
We work hard to build the technology that connects thousands of today's libraries. But we also work hard to make a job at OCLC a meaningful part of a balanced life- not a substitute for one.
Technology with a Purpose. OCLC supports thousands of libraries in making information more accessible and more useful to people around the world. OCLC provides shared technology services, original research and community programs that help libraries meet the ever-evolving needs of their users, institutions, and communities. With office locations around the globe, OCLC employees are dedicated to offering premier services and software to help libraries.
The Job Details are as follows:
This position will have direct responsibility for ongoing daily operations of Treasury and Insurance functions. The position will also advise Finance leadership on consolidated cash positions and ensure the efficiency of cash collection and disbursement.
In addition, the position will engage on various projects related to Treasury & Insurance, as well as Real Estate (including lease renewals and lease negotiations) and other areas which potentially impact the cash management of the company.
The position will work with OCLC Staff, Legal, Facilities, and outside suppliers/partners (such as banks, insurance, and investment partners) as appropriate.
Responsibilities
- Provides input to and helps create the strategic goals for the Finance team in the Treasury and Risk Management area.
- Treasury – directs and coordinates daily cash management including global cash balance reporting, cash forecasting, bank account management, and daily support to cash receipts and payment.
- Investments – responsible for monitoring the recording of transactions, monitoring and analysis of portfolio performance reporting, and working with OCLC staff and investment advisors to ensure the portfolio is properly maintained.
- Debt – responsible for monitoring the ongoing servicing of OCLC’s debt portfolio, including compliance with covenants and associated reporting.
- Insurance – responsible for ensuring the daily operational needs are met, as well as assisting with the annual insurance renewal process.
- Assist management in the assessment of financial controls.
- Establish, standardize and communicate treasury related approval guidelines, policies and procedures.
- Real Estate – will lead specific real estate related projects.
- Responsible for assisting Treasury staff in meeting the daily operational needs for cash management, including processing of payment files for ACH, positive pay, and wire transfers.
- Responsibility for working with Accounts Receivable on Merchant Services activity and Accounts Payable on Commercial Card activity.
Qualifications
- Bachelor’s degree in Accounting, Finance or related discipline is required.
- Certified Treasury Professional, or similar advanced financial certification is desirable.
- 7 plus years of accounting/finance experience.
- Significant knowledge of cash management, risk management principles, and lease negotiations.
- Demonstrated analytical and quantitative skills.
- Advanced skills in Microsoft Office are a plus.
Competencies
- Problem solving with the ability to act independently to meet deadlines.
- Excellent communication skills
- Strong interpersonal skills that provide the ability to interact with finance staff, company peers, senior management and suppliers/partners.
- Ability to influence and lead cross-functional project teams.
- Attention to detail, accuracy, and a hands-on proactive attitude
Working Conditions: Normal office environment.
ADA/EAA: The above statements cover what are generally believed to be principal and essential functions of this job. Specific circumstances may allow or require some people assigned to the job to perform a somewhat different combination of duties.
#LI-AR1 #LI-Hybrid

