V

Treasury Manager

Volcom

Costa Mesa, California, United States Full-time July 21, 2026
Apply Now

Vacancy Description

WHAT YOU’LL DO:

The Treasury Manager will report to the VP of Global FP&A and will be responsible for performing moderately complex to complex analyses, including managing the company’s cash flow forecast, administering debt and hedging activity, and preparing monthly reports including: Management presentations schedules, financial statement supporting schedules, interest expense reconciliations and debt covenant compliance calculations.

Forecasting

  • Create and maintain the Company’s cash flow forecast (13 and 52 week) and budget (1 & 5-year outlook).
  • Forecast an accurate balance sheet using working capital metrics as drivers and a free cash flow forecast that enables accurate measurement and management of cash flow.
  • Work closely with product planning teams to recommend periodic buy limits and analyze/communicate expected cash commitments variances to existing models.
  • Monitor capital expenditures against esta...
  • Ready to Apply?

    अभी आवेदन करें

    Submit your application for Treasury Manager at Volcom

    Apply for this Position