Treasury Director

GA Telesis, LLC
Fort Lauderdale, FL
GA Telesis is a global leader providing integrated solutions to the aviation and aerospace industries, with a continuously expanding presence in new countries worldwide. We serve over 2,000 customers, including airlines, original equipment manufacturers, maintenance, repair, and overhaul (MRO) providers. GA Telesis Ecosystem™ is a vast global network spanning 54 locations in 30 countries on six continents. At GA Telesis, our core business is integrated aviation solutions, and our mission is customer success.

The Treasury Director of Operations is a senior individual contributor role responsible for establishing and leading the global treasury function for GA Telesis, a multi-entity, multi-currency commercial aerospace organization engaged in parts trading, MRO, and aircraft, engine, and component leasing. This role blends hands-on execution with strategic leadership across cash and liquidity management, banking and lender relationships, and financial risk management. A key near-term priority will be leading the transition of the company’s primary working capital financing from an asset-based lending (ABL) facility to a cash flow revolver.

This is a standalone position with no direct reports initially, working closely with FP&A and Accounting teams. The Director will oversee day-to-day treasury operations while designing and implementing a scalable framework to support future growth, including the potential to build out a team over time. This role reports directly to the Chief Financial Officer (CFO). This role is based onsite in Fort Lauderdale, FL.



**Important Notice :

Eligibility Requirement : Only U.S. Citizens or Permanent Residents will be considered for this position.

Responsibilities:
1. Cash and liquidity management
  • Own and manage daily global cash positioning, including monitoring bank balances, funding operating accounts, managing cash sweeps, and optimizing use of revolving credit facilities.
  • Work with FP&A team to prepare short‑ and medium‑term cash flow and liquidity forecasts (weekly, monthly, and longer horizon – 13 week), working closely with CFO, FP&A and Accounting to align forecasts with business plans, capex, lease flows, and working capital requirements globally.
  • Work with CFO and FP&A team to manage working capital from a treasury perspective in a parts inventory, MRO and aircraft leasing environment, ensuring sufficient liquidity to support trading activity and MRO activity and a dynamic cash cycle while minimizing idle cash.
  • Execute and approve payments and receipts (wires, ACH, FX settlements, intercompany transfers) in line with delegated authorities and controls, and oversee bank reconciliations in coordination with global accounting AR and AP teams.
2. Treasury operations, systems, and controls
  • Establish, document, and maintain treasury policies, procedures, and control frameworks appropriate for a private company, including segregation of duties using existing finance resources.
  • Jointly administer with Controller and legal teams, all bank accounts and banking platforms globally: openings/closings, signatories, user access and entitlements, KYC/AML documentation, and bank fee reviews.
  • Select, implement, and directly use a Treasury Management System (TMS) or other bespoke tools to improve visibility, automation, and control over cash, forecasts, and exposures.
  • Ensure robust control over cash, investments, and financial instruments, and support any SOX‑like or lender‑driven control requirements.
3. ABL to cash‑flow revolver transition
  • Act as the treasury lead for the transition from an ABL facility to a cash‑flow‑based revolver, owning the treasury workstream across structuring, documentation, and operationalization.
  • Design and implement processes and reporting to support a covenant‑driven revolver (e.g., leverage ratio, fixed‑charge coverage, minimum liquidity), replacing borrowing‑base mechanics as the primary capacity constraint.
  • Build, maintain, and continuously refine practical dashboards and analytics for liquidity, revolver availability, covenant headroom, and early‑warning indicators, providing the CFO and C-suite and lenders with clear, actionable insight.
  • Coordinate closely with lenders and internal/external counsel on treasury‑related sections of credit agreements, cash management requirements, reporting packages, and ongoing compliance.
4. Industry / domain: commercial aerospace, parts trading, MRO, and leasing
  • Manage liquidity and risk in a commercial aerospace environment with significant parts inventory (including rotables, repairables, new parts), long lead times and long repair cycles, and complex commercial arrangements.
  • Understand working capital dynamics in parts trading and MRO: LOT and tear downs, new part distribution, consignment management, brokering and exchange arrangements and how these affect cash conversion and financing needs.
  • Understand complex commercial aircraft leasing financing structures and airline payment structures and behaviors
5. Risk management and investments
  • Identify, monitor, and manage key financial risks, including liquidity risk, foreign exchange risk (multi‑currency client, cost structure and vendor base), interest rate risk on floating‑rate debt, and counterparty/bank risk as well as protect against all forms of potential financial fraud
  • Analyze and recommend and, where appropriate, execute pragmatic FX and interest‑rate risk management strategies (e.g., natural hedging, selective hedging, match funding, matching of currency flows).
  • Manage investment of excess cash within board‑approved policies, with emphasis on capital preservation, daily liquidity, and compliance with lender requirements.
6. Stakeholder management
  • Serve as the primary point of contact for all treasury matters with the CFO, executive team, owners/sponsors, banks, and private credit lenders.
  • Prepare and deliver concise, decision‑oriented reporting on cash, liquidity, revolver utilization, covenant status, and key treasury KPIs for the CFO, executive management, and board.
  • Work closely with Accounting, FP&A, Tax, Legal, and business units to ensure treasury considerations are embedded in budgeting, capital allocation, M&A, lease transactions, and major commercial/operational initiatives.
  • Represent treasury in discussions with external stakeholders including auditors, rating agencies (if applicable), and key commercial partners where treasury topics are relevant.
Qualifications:
  • Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA, CPA, CFA, or CTP strongly preferred.
  • 10+ years of progressive experience in corporate treasury, investment or corporate banking, corporate finance, or related roles, including substantial hands‑on cash management and liquidity forecasting.
  • Experience operating in a privately held or sponsor‑backed company with at least mid‑market scale (ideally $500M+ revenue; preference for ~$1B+ and global footprint).
  • Preferred demonstrated experience leading or being the primary treasury owner on a transition from an ABL facility to a cash‑flow‑based revolver, including design of new processes, reporting, and covenant‑monitoring tools.
  • Strong understanding of credit agreements and financial covenants (leverage ratios, fixed‑charge coverage, minimum liquidity, restricted payments, etc.), and comfort interacting directly with lenders and their advisors.
  • Industry or adjacent experience in commercial aerospace, parts trading, MRO, aircraft/engine/component leasing, or complex industrial and trading profiles
  • Proven ability to operate as a senior standalone practitioner: equally comfortable running daily cash, building models/dashboards, and engaging in high‑level discussions with lenders, sponsors, and the CFO/board.
  • High proficiency in Excel and strong familiarity with ERPs, bank platforms, and (ideally) a TMS; bias toward automation and process improvement.
  • Excellent communication skills, with the ability to explain complex treasury and covenant topics in clear, practical language to non‑treasury stakeholders.
Check out how GA Telesis is "Intelligently Defining the FUTURE of Aviation and Aerospace" by following us on LinkedIn , Instagram , Facebook !

Posted 2026-07-17

Recommended Jobs

14549 - Recruiter | U.S. (Remote) | In-House Temp

Kelly Services
Florida

Together we change lives . Kelly is a team of experts driven by our belief that the impact of the right person in the right job is limitless. No matter where you are in your career journey, you c…

View Details
Posted 2026-07-06

Dirt Crew GPS Finish Dozer Operator

Hughes Brothers Construction, Inc.
Kissimmee, FL

Dirt Crew Gps Finish Dozer Operator Hughes Brothers Construction is now hiring! We are a heavy civil contractor specializing in large site infrastructure, underground utilities and roadway constru…

View Details
Posted 2026-06-09

Software Developer

THOR Solutions, LLC
Panama City, FL

THOR Solutions is actively seeking a mid-level Software Developer / Computer Programmer to support Landing Craft Air Cushion (LCAC) Command, Control, Communications, Computers, Navigation & Electr…

View Details
Posted 2026-05-18

Sr Project Engineer

Hill International
Orlando, FL

Job Description Hill International is seeking a Sr Project Engineer/Area Manager with CEI FDOT experience in Orlando, Florida Responsibilities Reporting directly to Hill's North Florida …

View Details
Posted 2026-04-11

Commercial Electrical Project Manager

Tri-City Electrical Contractors, Inc.
Altamonte Springs, FL

Job Description Job Description Salary: DOE MISSION: Achieving excellence through the dedication, innovation, and growth of our employee-owners, creating lasting value with our business par…

View Details
Posted 2026-07-05

Bus Driver

Coffee County Schools
Lake Worth, FL

Job Description Job Description COFFEE COUNTY SCHOOL SYSTEM Job Description Bus Driver Responsible to: Director of Transportation Qualifications: # High School Diploma or equivalen…

View Details
Posted 2026-06-20

Office cleaner, Janitor

PV AND J ENTERPRISES INC DBA Terminal Cleaning Solutions
Miami, FL

Job Description Job Description Benefits/Perks Flexible Schedule  Competitive Pay Career Advancement   Job Summary We’re looking to hire a hard-working janitor who can main…

View Details
Posted 2026-04-17

Primary Care Physician - Royal Palm Beach, FL - Earn over $300K income potential

Optigy Group
Palm Beach, FL

Primary Care Opportunity in Exclusive Island of Palm Beach!  Position Overview Join a forward-thinking, value-based care organization focused on delivering exceptional preventive primary care for…

View Details
Posted 2026-02-14

Calendar Clerk

Goldberg Segalla LLP
Miami, FL

Goldberg Segalla is a national civil litigation law firm that represents major national and regional companies and insurance carriers in all aspects of business counseling, risk assessment and disput…

View Details
Posted 2026-06-04

Management Trainee

Cintas Corporation
Fort Lauderdale, FL

Requisition Number: 228094  Job Description Cintas is offering an exciting Management Trainee program designed to kickstart your professional career. We are seeking a motivated and dynamic Mana…

View Details
Posted 2026-07-09