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Autodesk | toronto, Canada | Posted June 19, 2026
Position Overview
Join Autodesk as a Treasury Manager, a pivotal role focusing on cash flow modeling and optimization. Collaborate with finance teams to enhance forecasting accuracy and strategic insights.
As a Treasury Manager, you will partner closely with the Senior Manager of Free Cash Flow and other stakeholders. Your expertise in advanced modeling techniques and cash flow analysis will drive improvements in forecasting and liquidity management. You will also lead initiatives for optimizing working capital and provide key financial insights supporting business initiatives.
Key Responsibilities:
• Develop and maintain free cash flow models for accurate forecasting
• Collaborate on working capital optimization and strategic planning sessions
• Drive process improvements in cash flow reporting and forecasting
• Prepare and present financial reports and dashboards to stakeholders
• Mentor junior treasury analysts on financial modeling best practices
Requirements:
• 7+ years o...