财务总监
Director of Treasury
在Colibri Group,我们正在打造专业教育的未来。在超过50个职业领域中,我们的可信学习解决方案帮助超过七百万学习者提升技能、获得认证并为未来做好准备。
我们的使命是引领人们在职业生涯中取得更多成就,适应变化并蓬勃发展。这塑造了我们服务学习者的方式以及我们彼此协作的方式。我们的价值观——爱、喜悦、大胆、团队合作和好奇心,指导着我们如何协作、做决策并创造有意义的影响。
了解更多关于Colibri Group的信息,请访问 www.colibrigroup.com http://www.colibrigroup.com。
在Colibri Group,文化是我们一切工作的核心。我们的价值观——爱、喜悦、大胆、团队合作和好奇心,指导着我们如何协作、支持客户,并在我们服务的社区中产生影响。
Colibri Group是在线专业教育领域的领导者,每年服务于超过一百万的学习者,涵盖一系列值得信赖的教育品牌。作为一家快速增长的企业,拥有充足的现金流和复杂的资本结构,强有力的财务领导至关重要,以确保我们有效管理流动性、降低杠杆率,并支持企业的长期财务健康。
加入我们,共同打造下一个可能
我们正在寻找一位财务总监,作为Colibri Group的高级财务负责人,全面负责现金预测、营运资金、杠杆率和流动性管理、贷款方报告以及财务风险监督。
直接向首席财务官汇报,这是一个高度可见且亲力亲为的领导职位。你将帮助确保我们了解资金来源、去向,我们管理营运资金的效率,以及我们的流动性和杠杆状况如何支持公司的整体财务战略。
我们寻找一位建设者,一位曾成功创建、重建或显著改进财务流程的人,能够无需过多指导地高效运作。你应该同样擅长处理详细的财务模型,协调组织内部的信息,与贷款方和高管沟通,并将复杂的财务信息转化为清晰的行动建议和推荐。
你将负责:
- 领导并持续改进Colibri的13周滚动现金流预测,包括对应收账款、应付账款、薪资、资本支出、债务偿还和其他关键现金流驱动因素的详细可视性
- 负责企业营运资金和流动性管理
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At Colibri Group, we’re building the future of professional education. Across more than 50 professions, our trusted learning solutions help more than seven million learners build skills, earn credentials, and stay ready for what’s next.
Our mission is to lead people to achieve more, adapt, and thrive in their careers. It shapes how we serve our learners and how we work with one another. Our values of Love, Joy, Boldness, Teamwork, and Curiosity guide how we collaborate, make decisions, and create meaningful impact.
Learn more about Colibri Group at www.colibrigroup.com http://www.colibrigroup.com.
At Colibri Group, culture is at the heart of everything we do. Our values Love, Joy, Boldness, Teamwork, and Curiosity—guide how we work together, support our customers, and make a difference in the communities we serve.
Colibri Group is a leader in online professional education, serving more than one million learners each year across a family of trusted education brands. As a growing enterprise with significant cash flow and a complex capital structure, strong treasury leadership is critical to how we manage liquidity, reduce leverage, and support the long-term financial health of the business.
Come Build What’s Next
We’re looking for a Director of Treasury to serve as Colibri Group’s senior treasury leader, with ownership across cash forecasting, working capital, leverage and liquidity management, lender reporting, and financial risk oversight.
Reporting directly to the CFO, this is a highly visible and hands-on leadership role. You will help ensure we understand where cash is coming from, where it is going, how effectively we are managing working capital, and how our liquidity and leverage position supports the broader financial strategy of the company.
We’re looking for a builder, someone who has successfully created, rebuilt, or significantly improved treasury processes and can operate effectively without extensive handholding. You should be equally comfortable working in detailed financial models, coordinating information across the organization, engaging with lenders and executives, and translating complex financial information into clear actions and recommendations.
What You’ll Do
- Lead and continuously improve Colibri’s 13-week rolling cash flow forecast, including detailed visibility into receivables, payables, payroll, capital expenditures, debt service, and other key cash drivers
- Own enterprise working capital and liquidity management, including DSO, DPO, net working capital, free cash flow initiatives, scenario planning, and forecast-versus-actual analysis
- Manage debt and lender compliance activities, including covenant calculations, leverage and coverage ratios, borrowing base certificates, revolver capacity, and proactive identification of liquidity or compliance risks
- Partner closely with the CFO on lender relationships, quarterly lender calls, Investor Relations support, anticipated Q&A, addback schedules, Rating Agency reviews, and executive- and Board-ready materials
- Oversee treasury operations and strategy, including banking relationships, cash positioning, payment solutions, treasury technology, interest-rate hedging, insurance, and support for refinancing, M&A, and capital markets activity
What You’ll Bring
- 8+ years of progressive corporate treasury experience, including at least 3 years at the Senior Manager, Director, or comparable leadership level
- Direct, hands on experience managing cash forecasting, working capital, liquidity, and debt within a mid-market or large enterprise environment
- Demonstrated experience building, significantly improving, or redesigning treasury processes rather than simply maintaining established processes
- Experience with lender compliance reporting, financial covenant calculations, borrowing base certificates, credit facilities, debt servicing, and leveraged capital structures
- Strong financial modeling, analytical, communication, and stakeholder management skills, along with a bachelor’s degree in Finance, Accounting, Economics, or a related field. MBA, CFA, or Certified Treasury Professional (CTP) designation is strongly preferred
Tools, Platforms, and Methodologies You May Use
Experience with every tool, platform, or methodology below is not required. We are most interested in your ability to understand complex treasury environments, build strong processes, and quickly learn new systems.
- Treasury Management Systems (TMS)
- ERP platforms such as Workday, Oracle, or NetSuite
- Advanced Excel, financial modeling, and scenario analysis
- Power BI or similar reporting and visualization tools
- Cash forecasting, working capital analysis, covenant reporting, and interest-rate hedging methodologies
Why You’ll Love Working Here
- Work directly with the CFO on highly visible initiatives that influence Colibri’s financial strategy
- Take ownership of a treasury function where you will have the opportunity to build, improve, and create meaningful change
- Help shape how a large, cash-generating organization manages liquidity, leverage, working capital, and financial risk
- Gain exposure to lender relationships, capital structure decisions, refinancing activity, and executive- and Board-level financial discussions
- Partner across Finance, Accounting, Legal, Operations, Payroll, and business leadership in a role where your expertise and judgment will have a visible impact
WE ENCOURAGE YOU TO APPLY
You may not check every preferred box, and that is okay!!
We are open to candidates from private equity-backed, privately held, or public companies who have worked in complex treasury environments with meaningful debt exposure. You may currently be a highly experienced Senior Treasury Manager ready to step into a Director role or an early-tenure Director looking for an opportunity to take greater ownership and build.
Experience supporting Investor Relations, Rating Agency reviews, corporate insurance, M&A, refinancing, or every type of hedging activity is a plus, but we are willing to flex in these areas for someone with the right treasury foundation, learning agility, and problem-solving mindset.
However, this role does require direct corporate treasury experience, meaningful hands-on experience with debt and liquidity management, and a demonstrated ability to build or substantially improve processes.
If your recent treasury experience has primarily focused on investing excess cash or managing cash portfolios without direct responsibility for operational cash flow, debt servicing, lender compliance, and broader treasury operations, this may not be the right opportunity.
If you enjoy getting into the details, solving complex problems, building better processes, and creating the financial visibility leaders need to make strong decisions, we would love to hear from you.
What You Can Expect From Our Hiring Process
We want our interview process to give you a clear picture of the role, the team, and what it’s like to work at Colibri while giving us the opportunity to understand your experience, how you approach your work, and what you’re looking for next. We do not use AI to review any applications, your application is reviewed by a human on the Talent Acquisition team.
While the exact process may vary slightly, you can generally expect:
1. Recruiter Conversation
An introductory conversation with a member of our Talent Acquisition team to learn more about your experience, career goals, and interest in Colibri. We’ll also share more about the role, team, compensation, and what to expect throughout the process.
2. Hiring Manager Conversation
A conversation with our CFO focused on getting to know you, understanding your treasury experience, and learning how you approach complex business challenges.
3. Team and Cross-Functional Interviews
You’ll meet with several of the leaders and partners this role will work closely with. These conversations will explore specific areas of the role while also giving you the opportunity to understand how the team works together.
4. Final Case Study and Conversations
Final candidates can expect a practical case study and presentation centered on a realistic treasury challenge. This is designed to understand how you think, prioritize, communicate, and approach building solutions. Candidates will receive details and preparation expectations in advance.
Our goal is to make the experience thoughtful, respectful, and transparent. We encourage you to ask questions throughout the process we’re evaluating the opportunity together. Our application deadline is 9/24/26.
Our Commitment to Inclusion
Colibri Group is an Equal Opportunity Employer. We celebrate diversity and are committed to creating an inclusive environment where everyone feels welcome, respected, and empowered to do their best work. We encourage qualified candidates from all backgrounds, experiences, and career paths to apply.
Colibri Group is an equal opportunity employer. We make employment decisions based on job-related qualifications, merit, and business needs without regard to race, color, religion, sex, pregnancy, sexual orientation, gender identity, national origin, age, disability, genetic information, protected veteran status, or any other characteristic protected by applicable law.
If you need a reasonable accommodation to complete your application or participate in the hiring process, please contact Human Resources. Please indicate that your request is related to an employment application and include the position title.