**Hungry, Humble, Honest, with Heart.**
**The Opportunity**
Nutanix is seeking a Treasury Manager to join our Finance team. As a Treasury Manager, you will play a key role in managing various Treasury functions—cash, banking relationships, investments, foreign exchange, and risk management such as insurance—while also supporting tax compliance and transfer pricing activities. This position will report to the Director of Treasury.
**About the Team**
At Nutanix, you will be joining the Tax and Treasury team, a global group of professionals dedicated to supporting each other. Despite the team's widespread locations, there is a strong sense of collaboration and camaraderie that fosters a dynamic and innovative work environment.
You will report to the Director, Treasury, who provides excellent guidance and support to ensure your success. The work setup at Nutanix is hybrid, with employees encouraged to work in the office one day a week. This fosters team bonding and collaboration while also allowing for flexibility and work-life balance.
Travel requirements at Nutanix are mínimal, allowing you to focus on your responsibilities and projects without the burden of frequent trips away from home. This emphasis on work-life balance and flexibility ensures that you can perform at your best while also maintaining a healthy personal life.
**Your Role**
- Manage global cash management processes, including banking relationships, operations, and cash flows across entities.
- Maintain bank account structures, signatories, banking resolutions, Know Your Customer (KYC) documentation, and banking portals.
- Implement controls for bank account access and payment approvals, recommending improvements to the control framework.
- Develop and implement Treasury policies, processes, and controls.
- Assist in corporate income tax return preparation, tax audit reports (Form 3CD), and advance tax computations.
- Coordinate tax audits, respond to queries from tax authorities, and support tax assessments and appeals.
- Prepare transfer pricing reports and gather data for intercompany transactions while performing preliminary transfer pricing analysis.
- Ensure compliance with transfer pricing regulations and assist in preparing audit documentation.
- Collaborate with finance and accounting teams to gather financial data for tax filings, schedules, and transfer pricing reports.
- Assist with insurance program renewals and maintain broker relationships.
Identify and implement process improvements in banking, insurance, and ERP systems, and support Treasury Management System evaluation.
**What You Will Bring**
- 5+ years of relevant experience in Treasury operations, international Treasury, global insurance, and tax compliance.
- Hands-on experience with corporate income tax returns, tax audits, and transfer pricing regulations.
- Strong passion for leveraging technology to streamline Treasury and tax processes.
- Ability to identify internal control weaknesses and implement solutions.
- Strong organizational skills, with the ability to scale operations in a growing, global, fast-paced technology environment.
- Detail-oriented, ethical, and able to work independently or as part of a team.
- In-depth knowledge of Treasury Management Systems, online banking portals, cash and investment management, and tax regulations.
- Demonstrate a strong sense of ownership, urgency, and proactive problem-solving.
- Excellent written and verbal communication skills.