Director, Treasury & Investor Relations at Cellebrite
Petah Tikva, Center District, Israel -
Full Time


Start Date

Immediate

Expiry Date

01 Aug, 26

Salary

0.0

Posted On

03 May, 26

Experience

10 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Treasury Management, Investor Relations, Capital Markets, Liquidity Planning, Financial Risk Management, Cash Flow Forecasting, Working Capital Optimization, Debt Facilities, Financial Analytics, SOX Compliance, Internal Controls, Strategic Planning, Banking Relationships, Treasury Systems, ERP Integration

Industry

Public Safety

Description
Company Overview: Cellebrite’s (Nasdaq: CLBT) mission is to enable its global customers to protect and save lives by enhancing digital investigations and intelligence gathering to accelerate justice in communities around the world. Cellebrite’s AI-powered Digital Investigation Platform enables customers to lawfully access, collect, analyze and share digital evidence in legally sanctioned investigations while preserving data privacy. Thousands of public safety organizations, intelligence agencies and businesses rely on Cellebrite’s digital forensic and investigative solutions—available via cloud, on-premises and hybrid deployments—to close cases faster and safeguard communities. To learn more, visit us at www.cellebrite.com, https://investors.cellebrite.com/investors and find us on social media @Cellebrite. Position Overview: The Senior Director, Treasury & Investor Relations serves as a dual‑function strategic leader, overseeing the company’s global treasury operations while supporting and advancing Cellebrite’s investor relations (IR) program. This role architects global liquidity strategy, capital markets activity, and financial risk management, while playing a visible role in communicating Cellebrite’s performance and strategic vision to the buy‑side, sell‑side, and broader investment community. Key Responsibilities: Lead global cash, liquidity, and cash flow forecasting across geographies. Optimize working capital, intercompany funding, and cash pooling structures. Drive capital markets activities, including debt facilities, refinancing, and capital structure optimization. Support financing needs for M&A, strategic investments, and key corporate initiatives. Oversee financial risks (FX, interest rate, liquidity) and implement hedging strategies. Manage treasury operations, banking relationships, compliance, controls, and audits. Lead treasury systems automation, analytics, and process modernization. Oversee the company’s investment portfolio with a focus on liquidity, yield, and capital preservation. Support investor relations activities, earnings preparation, disclosures, and market engagement. Partner with senior leadership and cross‑functional teams on capital allocation and strategic decision‑making. Requirements Bachelor’s degree in Finance, Accounting, or related field; MBA/CPA/CTP preferred. 10+ years of progressive treasury or corporate finance experience in global public companies. Experience in investor relations, capital markets communication, or external‑facing financial roles. Expertise in liquidity planning, capital markets strategy, FX, interest rate risk, and financial risk management. Experience with treasury management systems (TMS), ERP integrations, and financial analytics tools. Strong understanding of SOX compliance, internal controls, and disclosure requirements. Strategic thinker with strong financial judgment and communication capabilities. Ability to engage credibly with senior executives, investors, and analysts. Proven ability to lead cross‑functional initiatives and operate in fast‑paced, global environments. Personal Characteristics null
Responsibilities
The Senior Director will lead global treasury operations, including liquidity strategy, cash flow forecasting, and financial risk management. Additionally, they will manage investor relations activities and engage with the investment community to communicate the company's strategic vision.
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