Overview
As Director of Treasury and Finance Services, you will lead Pew’s treasury, banking, cash flow, capital markets, and investment oversight, guiding long-term forecasting and financial analysis. You’ll collaborate with senior leadership to refine financial strategy, strengthen controls, and support Pew’s mission through prudent liquidity management and risk-aware investment oversight. This role offers the chance to shape Pew’s financial trajectory while working with cross-functional teams and external partners. You will drive insights for the Board and Finance Committee and mentor a small team in a dynamic, mission-driven environment.
Pay / Benefits
- hybrid work with core in-office days
- telework flex weeks
- comprehensive health benefits (medical, dental, vision)
- retirement benefits
- life and disability insurance
- work-life balance programs
Responsibilities
- Lead treasury strategy and liquidity optimization to support growth
- Oversee banking relationships, cash flow management, and internal controls
- Provide financial forecasting, scenario analysis, and reporting to senior leadership and Board
- Oversee capital markets activities, financing options, and debt management
- Manage investments oversight with external partners and monitor policy compliance
- Coordinate investment policy reviews, spending policies, and risk parameters with Finance leadership and external advisors
- Prepare and present quarterly finance committee materials and assist during audits
- Develop staff, foster a culture of performance, and drive adoption of new technologies in Finance
- Serve as SME on emerging technologies and provide training as needed
- Support diversity, equity, inclusion, and accessibility initiatives within Pew
- Engage in other duties as assigned
Key requirements
- Minimum 10 years of professional experience in finance with staff or project management
- Two+ years of direct supervisory experience with performance management
- Five+ years of treasury, banking, financial modeling, analysis, and capital markets/investments experience
- Strong analytical, customer service, and interpersonal skills
- Advanced Excel and financial modeling proficiency for long-term planning and reporting
- Experience with data tools (Power Query, Power Pivot, Power BI) and BI dashboards
- Proficiency in Microsoft Office Suite and executive presentation preparation
- Experience leveraging AI to improve financial reporting and forecasting
- Proactive, collaborative, and able to partner with senior management including the CFO
- Strong organizational skills and track record of leading change in growing organizations
- Excellent judgment, negotiation, and problem-solving abilities
- Energetic, adaptable, and team-focused with strategic and tactical impact
- collaboration
- communication
- leadership
- Microsoft Excel (advanced financial modeling)
- Power Query
- Power Pivot
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