Sr. Treasury Manager

Cambrex • East Rutherford, New Jersey • Full Time

Posted on Wed, Jul 22, 2026

Company Information

You Matter to Cambrex.

Cambrex is a leading global contract development and manufacturing organization (CDMO) that provides drug substance development and manufacturing across the entire drug lifecycle, as well as comprehensive analytical and IND enabling services. 

With over 40 years of experience and a team of 2,000 experts servicing global clients from North America and Europe, Cambrex offers a range of specialized drug substance technologies and capabilities, including continuous flow, controlled substances, liquid-phase peptide synthesis, solid-state science, material characterization, and highly potent APIs.

Your Work Matters.

At Cambrex, we strive to build a culture where all colleagues have the opportunity to:

We’re committed to attracting and nurturing a passionate team of valued professionals in our fast-paced and growing company.  We offer a competitive benefits package that includes healthcare, life insurance, planning for retirement, and more!

Your Future Matters.

Known for our customer-focused scientific and manufacturing excellence, as well as our strong commitment to quality and safety, we offer a range of career and growth opportunities across our global network of locations. Together with our customers, we aim to improve the quality of life for patients around the world. Start a career where You Matter by applying today!

Overview:

The Sr. Treasury Manager will play a leadership role within the Treasury function, responsible for overseeing and executing the organization’s foreign exchange, debt, liquidity, and related risk management activities. This role will support decision-making through strong financial analysis, cash forecasting, and cross-functional collaboration. The position requires experience in budgeting, project management, and system-related initiatives, serving as a key Treasury lead for upcoming IT and Finance projects. This individual will partner closely with Finance, Accounting, IT, and business site leaders to optimize liquidity, mitigate financial risk, strengthen controls, and support the organization’s broader financial objectives.

Responsibilities:

Qualifications / Skills:

Education, Experience, and Licensing Requirements: (Text Only)

 
- B.S. degree in Accounting, Finance, or related business field
- 10+ years of experience in Corporate Treasury, Finance, or a related field
- Experience leading cross-functional initiatives, or system-related projects
- Proficient in Microsoft applications (e.g., Excel, Word)
- Experience with ERP systems (SAP, Oracle, or similar) and Treasury Management Systems (TMS)
- Experience with cash management, liquidity planning, debt management, foreign exchange, and treasury operations
- Experience with bank portals and FX All a plus
- Exposure to financial markets, foreign exchange, and risk management preferred

View the interactive listing →