FP&A Manager, Treasury
Salesforce
🔍 Observed
70
Hiring Activity Score
Likely Active (65-79)
- Base score
- Posted 4 days ago
- has location, quality description (7230 chars)
- 3 skills
- High confidence (90%)
- Direct ATS (workday)
California - San Francisco
First seen 4 days ago
Last seen 48 minutes ago
Workday
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Try Direct Link (may be expired)Job Description
AI Summary
• Lead monthly cash flow forecasting and liquidity management for a global corporation, driving strategic financial planning for M&A, capital expenditure, and shareholder initiatives
• Develop and automate sophisticated financial models using Excel and Treasury Management Systems while championing AI-driven process improvements through Salesforce Agentforce
• Requires 5–7 years of progressive treasury or corporate finance experience, preferably in high-growth SaaS, plus bachelor's degree in Finance/Accounting/Economics (CPA/CTP/CFA preferred)
• Partner cross-functionally with Accounting, Tax, Investor Relations, and divisional finance teams to align on global cash management and capital structure decisions
• Hybrid role based in San Francisco with 3 days/week in-office; opportunity to shape the future of treasury operations at the #1 AI CRM company
Skills
git
rust
go
Quick Actions
Job Information
-
Company:
Salesforce -
Location:
California - San Francisco -
Job Type:
Full-Time -
Experience Level:
Mid -
Source:
Workday -
Status:
Active
Activity Score
70
/100
Likely Active (70)
Higher scores indicate more likely active hiring based on listing freshness, company activity, and other signals. Learn more →
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