Veeva Systems is a mission-driven organization and pioneer in industry cloud, helping life sciences companies bring therapies to patients faster. As one of the fastest-growing SaaS companies in history, we surpassed $2B in revenue in our last fiscal year with extensive growth potential ahead.
At the heart of Veeva are our values: Do the Right Thing, Customer Success, Employee Success, and Speed. We're not just any public company – we made history in 2021 by becoming a public benefit corporation (PBC), legally bound to balancing the interests of customers, employees, society, and investors.
As a Work Anywhere company, we support your flexibility to work from home or in the office, so you can thrive in your ideal environment.
Join us in transforming the life sciences industry, committed to making a positive impact on its customers, employees, and communities.
The Role Do you have treasury investment experience and want to manage the investment process of a growing company? Finance is looking for a qualified and enthusiastic Treasury Investment Manager to monitor our investment portfolio. Help invest corporate cash to optimize return and preserve principle in accordance with our corporate policies. Join the team to create an investment risk framework and start managing a treasury portfolio in-house.
What You'll Do Implement and internally manage a portfolio of TreasuriesOversee compliance with Veeva's investment policy, portfolio risk, and liquidity profileAssess, monitor, and benchmark external investment manager performanceCreate a bottom-up interest income forecastImplement monthly and quarterly risk dashboard for cash and investmentsRecommend investment strategies in a changing market and business environmentProvide backup for other treasury functions such as cash, FX, and banking managementAd hoc project management (e.g. capital market analysis, treasury systems, and automation)Requirements Experience trading fixed income securities6+ years of experience in corporate treasury, capital markets or related fields with a Master's in Finance or CFA (or)8+ years of experience with a bachelor's degree in business, finance or related field.Thorough understanding of fixed income investments, risk management and capital marketsStrong technical and communication skills with the ability to create financial models and assess risksDesire to work collaboratively as part of a teamNice to Have Advanced degree or CFAExperience with Bloomberg or similarPerks & Benefits Medical, dental, vision, and basic life insuranceFlexible PTO and company paid holidaysRetirement programs1% charitable giving programCompensation Base pay: $120,000 - $200,000The salary range listed here has been provided to comply with local regulations and represents a potential base salary range for this role. Please note that actual salaries may vary within the range above or below, depending on experience and location. We look at compensation for each individual and base our offer on your unique qualifications, experience, and expected contributions. This position may also be eligible for other types of compensation in addition to base salary, such as variable bonus and/or stock bonus.#LI-RemoteUS Veeva's headquarters is located in the San Francisco Bay Area with offices in more than 15 countries around the world.
Veeva is an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to race, color, sex, sexual orientation, gender identity or expression, religion, national origin or ancestry, age, disability, marital status, pregnancy, protected veteran status, protected genetic information, political affiliation, or any other characteristics protected by local laws, regulations, or ordinances. If you need assistance or accommodation due to a disability or special need when applying for a role or in our recruitment process, please contact us at ******.
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