About the job
Join CELSIUS®, where energy meets ambition! If you're someone who thrives on high-energy activities, from early morning workouts to vibrant festivals, you're in the right place. At Celsius, we celebrate a culture of motivation, excitement, and relentless pursuit of goals.
Our dynamic team is composed of passionate individuals who are joyful, bold, and unapologetically confident, just like our brands, including Alani Nu and Rockstar®. Together, we are Celsius Holdings, Inc., a leading global consumer packaged goods company dedicated to fostering innovation and inclusivity.
As we expand our vision of living energized, we invite you to seize the opportunity to redefine your career with us as a Treasury Manager. In this pivotal role, you will lead cash management, liquidity planning, and treasury operations within our thriving organization.
Your contribution will drive cash visibility and optimize working capital, while collaborating closely with Accounting, FP&A, and Accounts Payable teams. You will enhance treasury processes, strengthen internal controls, and scale systems to support our growth trajectory.
Bring your expertise in cash flow forecasting, banking relationships, and treasury operations, along with a proactive mindset to elevate our financial performance and capital planning initiatives.
