Summary from listing
Brady is seeking a Global Treasury Manager to join its Corporate Treasury team and report to the Treasurer. The role oversees daily cash and liquidity positioning, global cash movements and pooling, debt financing and trade facilities, banking relationships, capital structure optimization, financial reporting, month-end and quarter-closing activities, and enterprise risk management. The position also supports M&A integration, public financial filings, and coordination with executive leadership, external partners, and functional teams.
