Overview
Sr. Director of Finance Jobs in Greater Pittsburgh Region at Atsali Search LLC
Title: Sr. Director of Finance
Company: Atsali Search LLC
Location: Greater Pittsburgh Region
Job Summary
Our client is seeking an experienced Senior Director of Finance to serve as a key leader within a growing organization’s finance team. This is a newly created role due to growth. There's a clear path for advancement with strong performance.
This individual will oversee treasury operations, cash management, financial forecasting, debt compliance, risk management, and banking relationships across a complex, multi-location business environment.
The ideal candidate will bring deep expertise in treasury and corporate finance operations, strong leadership capabilities, and the ability to partner cross-functionally with executive leadership, operations, accounting, and external financial partners.
Key Responsibilities
Treasury & Cash Management
- Lead day-to-day treasury operations including cash flow management, liquidity forecasting, debt balances, and working capital optimization
- Manage relationships with banking partners, lenders, and financial institutions
- Support borrowing base reporting, debt compliance, and financing activities related to credit facilities
- Coordinate field audits, collateral reviews, inventory appraisals, and equipment valuations with internal and external stakeholders
- Oversee equipment financing activities and capital expenditure funding strategies
- Ensure treasury processes are supported by effective internal controls, policies, and procedures
- Administer corporate credit card programs and banking platforms
- Identify opportunities for process improvement, automation, and treasury technology enhancements
- Support negotiation of banking agreements, covenants, and financing structures
Forecasting & Financial Planning
- Prepare rolling cash flow and liquidity forecasts
- Partner with FP&A and Accounting teams on annual budgeting and periodic forecasting processes
- Monitor debt compliance, financing schedules, interest expense, and borrowing projections
- Provide financial analysis and reporting to executive leadership and external financial partners
- Support initiatives to optimize capital structure and cost of capital
Risk Management & Insurance
- Lead insurance renewals, claims management, and broker relationships
- Maintain reporting related to insured assets, business interruption exposure, and operational risk metrics
- Review customer and vendor insurance requirements
- Evaluate financial risk management strategies including foreign exchange and interest rate exposure
- Support development of credit risk management and customer/vendor terms strategies
- Oversee administration of corporate insurance programs and letters of credit
Leadership & Cross-Functional Partnership
- Serve as a strategic finance leader across the organization
- Build strong relationships with operations, sales, supply chain, accounting, and executive leadership teams
- Act as a primary point of contact with banking and financing partners
- Mentor and develop finance and treasury professionals
- Drive continuous improvement initiatives across treasury and finance functions
Qualifications
- Bachelor’s degree in Finance, Accounting, or related field; MBA or advanced degree preferred
- 10+ years of progressive experience in treasury, corporate finance, FP&A, or accounting within a complex business environment
- Strong experience with cash flow forecasting, debt management, working capital optimization, and treasury operations
- Experience managing banking relationships and financing structures, including asset-based lending preferred
- Knowledge of financial risk management, insurance programs, and regulatory compliance
- Experience with treasury management systems and online banking platforms
- Proven leadership ability with strong communication and relationship management skills
- Demonstrated success improving processes, leveraging automation, and enhancing financial reporting efficiency