Assistant Treasurer job opportunity at Varex Imaging.



DatePosted 7 Days Ago bot
Varex Imaging Assistant Treasurer
Experience: 7-years
Pattern: full-time
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loacation Salt Lake City, United States Of America
loacation Salt Lake City....United States Of America

To apply to a Varex Imaging position, please create an account and sign-in. CURRENT VAREX IMAGING EMPLOYEES: Please apply by logging into your internal Workday Account . Summary The Assistant Treasurer is a hands‑on finance leader responsible for managing day‑to‑day treasury operations while supporting capital structure strategy, liquidity management, and financial risk oversight. Operating within a small‑cap, public company environment, this role blends strategic financial planning with operational execution. The Assistant Treasurer must be highly analytical, detail‑oriented, and capable of operating independently within a lean finance organization. This role directly impacts liquidity, capital allocation decisions, debt compliance, and financial risk management, while ensuring strong internal controls and adherence to public company reporting and compliance requirements. Job Description 1. Liquidity & Cash Flow Management (High Ownership) Lead daily global cash positioning and short-term liquidity management. Develop, maintain, and enhance 13-week and long-range cash flow forecasts. Optimize working capital in partnership with FP&A, Accounts Receivable, Accounts Payable, and Operations. Manage investment of excess cash in accordance with Board approved investment policies. 2. Debt & Credit Facility Management Manage revolving credit facilities, term loans, and related treasury agreements. Monitor covenant compliance and prepare lender reporting packages. Coordinate with lenders on borrowings, repayments, amendments, and waivers. Support refinancing activities and capital raise initiatives as required. 3. Capital Markets & Strategic Finance Support Assist the CFO and Treasurer in evaluating capital structure alternatives, including debt, equity, and hybrid instruments. Support share repurchase programs, dividend initiatives, or other capital return strategies, as applicable. Prepare liquidity, debt, and treasury related disclosures for Forms 10 Q and 10 K. Support investor, lender, and rating agency materials as required. 4. Treasury Operations & Controls Oversee global bank account structures and cash management processes. Manage payment approval workflows and fraud prevention controls. Maintain SOX compliant treasury processes, documentation, and internal controls. Partner closely with Accounting on debt accounting, interest accruals, hedge accounting, and disclosures. Lead treasury related coordination for internal and external audits. 5. Risk Management Monitor and assess interest rate and foreign exchange exposures. Execute hedging strategies, where applicable, in alignment with approved risk management policies. Manage enterprise insurance programs in partnership with Legal and Risk Management (often bundled within treasury in small cap environments). 6. Banking & Relationship Management Serve as the primary point of contact for commercial banking partners. Negotiate banking fees, credit terms, and service agreements. Lead periodic RFPs for treasury services and banking platforms. Required Skills and Knowledge Strong knowledge of treasury operations, cash management, financial risk management, and corporate finance. Ability to translate strategy into execution with strong attention to detail and controls. Demonstrated leadership capability with the confidence to influence across functions and regions. Proficient with Microsoft Word, Excel, and PowerPoint. Typical Education and Experience Bachelor’s degree in Finance, Accounting, Economics, or related field. 7+ years of progressive experience in treasury, corporate finance, or banking. Experience with ERP systems (e.g., SAP, NetSuite, Oracle); Treasury Management System (TMS) (e.g. GTreasury, Kyriba) experience a plus. Prior experience in a public company environment strongly preferred. Required Certifications and Training Treasury or finance certification (e.g., CTP) preferred. Completion of LMS training plan specific to assigned responsibilities. Time Type: Full time Job Type: Regular Work Shift: N/A Pay Rate Type: Salary Benefits and Perks Varex Imaging provides competitive pay and benefits to support the financial, physical, and emotional well-being of the people who make our company successful. Medical Insurance Dental/Vision 10 Paid Holidays PTO Employee Stock Purchase Plan 401K match Paid Parental Leave Short & Long-Term Disability and Life Insurance Competitive Pay Flexible Schedules Variety of Shift Options Free Safety Shoes Friendly Work Environment On-site Cafeteria, Company Nurse, Credit Union, and Gym Free Coffee and Soda Tuition Reimbursement Employee Referral Program Career Advancement Opportunities Employee Discounts EV Charging Stations All qualified applicants will receive consideration for employment without regard to race, sex, color, religion, sexual orientation, gender identity, national origin, protected veteran status, or on the basis of disability.

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