- Location
- Austin, Texas, United States of America
- Type
- Full-time
- Department
- Finance
- Seniority
- Director
- Experience
- 12+ years
- Education
- Master
- Closing date
- Today
- Source
- Workday
Description
Job Summary
Flex intends to spin off its Cloud and Power Infrastructure segment into a new, independent publicly traded company, which we’re calling SpinCo, until the name is unveiled. The spin is planned for Q1 2027. If the intended spin occurs, this role will support SpinCo, which will focus on critical digital infrastructure, delivering end-to-end power and thermal management solutions for AI data centers and other mission-critical applications.
The " Senior Director of Corporate Finance & Cash Management" will be based in Austin, Texas reporting to the Sr. Vice President, Treasury. In this role you will lead global cash management and core corporate finance activities, including liquidity, funding, capital structure, and external stakeholder engagement (banks and rating agencies). This role partners across Finance, Tax, Legal, and business teams to ensure efficient capital deployment, strong financial discipline, and scalable treasury operations. The position also drives improvements in forecasting, reporting, and automation, including the use of data and AI tools. This role reports to the Treasurer and supports management of the company’s capital structure across both investment-grade and high-yield frameworks.
What a typical day looks like:
Lead global cash positioning, forecasting, and liquidity planning
Optimize global cash structure, including pooling, intercompany funding, and repatriation
Oversee internal funding strategies, including intercompany loans and documentation
Improve cash visibility, forecasting accuracy, and working capital efficiency
Support execution of funding strategy, including debt issuance and credit facilities
Develop financial models for capital allocation decisions (buybacks, debt, M&A; funding)
Monitor market conditions and peer benchmarks to inform capital structure decisions
Support interest expense forecasting and liquidity scenario analysis
Lead engagement with credit rating agencies and support development of credit narrative
Support positioning and management of the company’s credit profile across investment-grade and high-yield considerations
Maintain and strengthen relationships with global banking partners
Oversee global banking structure, including accounts, platforms, and rationalization
Support negotiation of banking services and agreements
Support treasury execution of M&A; transactions, including diligence, funding, and closing
Lead global cash positioning, forecasting, and liquidity planning
Support business expansion and new operating models from a treasury perspective
Develop and maintain treasury policies, procedures, and internal controls
Ensure compliance with SOX requirements and debt covenants
Oversee treasury reporting, including liquidity, leverage, and key metrics
Support internal and external audit requirements
Drive treasury system enhancements and automation initiatives
Support or lead TMS implementations and integrations
Leverage data and AI tools to improve forecasting, anomaly detection, and reporting
Partner with IT and external vendors on system and process improvements
Partner cross-functionally with Accounting, Tax, FP&A;, Legal, and operations
Lead and develop team members and drive accountability
Operate effectively in both strategic and hands-on environments
What we are looking to add to our team:
A hands-on leader who can manage liquidity and funding while supporting strategic initiatives. Comfortable engaging with banks and rating agencies, while also improving internal processes, systems, and execution.
12+ years of experience in treasury, corporate finance, or capital markets
Strong expertise in global cash management, liquidity planning, and funding strategies
Experience managing or supporting capital structures across investment-grade and high-yield environments
Experience with debt markets, credit agreements, and rating agencies
Experience supporting M&A; and integration activities
Strong financial modeling and analytical capabilities
Experience with treasury systems and automation tools
Preferred:
MBA, CFA, or CTP
Experience with TMS platforms (e.g., Kyriba)
Exposure to AI/data-driven finance tools
SS26
What you'll receive for the great work you provide:
- Full range of medical, dental, and vision plans
- Life Insurance
- Short-term and Long-term Disability
- Matching 401(k) Contributions
- Vacation and Paid Sick Time
- Tuition Reimbursement