About Osmose
Osmose is the market-leading provider of critical resiliency, assessment, and restoration services for electric transmission, distribution, and telecommunications companies. With operations across North America and a growing global footprint, Osmose is committed to operational excellence, financial discipline, and long-term value creation.
Position Summary
Osmose Utilities is seeking a Director, Global Treasury and Tax to lead and oversee the Company’s global treasury operations and tax strategy. This role is responsible for ensuring liquidity, optimizing capital structure, managing financial risk, and overseeing tax planning and compliance across all jurisdictions.
The ideal candidate is a strategic, hands-on leader with deep expertise in treasury and tax, strong business judgment, and experience operating in a complex, multi-entity environment. This position works closely with executive leadership and cross-functional partners to support business growth, governance, and financial integrity.
Key Responsibilities
Treasury & Cash Management
- Lead global treasury operations, including cash management, liquidity planning, and cash flow forecasting
- Manage global banking relationships, credit facilities, debt compliance, and covenant reporting
- Develop and execute capital structure strategies, including debt financing, refinancing, and interest rate risk management
- Oversee global working capital initiatives to optimize cash usage and financial efficiency
- Establish and maintain treasury policies, internal controls, and governance frameworks
Tax Strategy & Compliance
- Lead global tax strategy, planning, and risk management across U.S. federal, state, and international jurisdictions
- Oversee income tax, indirect tax, transfer pricing, and withholding tax compliance and reporting
- Partner with external advisors to ensure compliance with evolving tax laws and regulations
- Support M&A activity, integrations, and restructuring initiatives from a tax and treasury perspective
- Identify and execute opportunities to improve tax efficiency while maintaining full regulatory compliance
Leadership & Cross-Functional Collaboration
- Build, lead, and develop a high-performing treasury and tax team
- Partner with Accounting, FP&A, Legal, and Operations to align financial strategy with business objectives
- Serve as a trusted advisor to executive leadership on treasury, tax, and financial risk matters
- Support internal and external audits related to treasury and tax functions
Systems, Controls & Process Improvement
- Drive continuous improvement of treasury and tax processes, systems, and reporting
- Evaluate and implement treasury management systems and financial tools as needed
- Ensure strong internal controls and compliance with SOX and other regulatory requirements
Qualifications
Required
- Bachelor’s degree in Finance, Accounting, Economics, or a related field
- 10+ years of progressive experience in treasury and/or tax leadership roles
- Strong technical expertise in global treasury operations and corporate tax matters
- Experience managing global cash operations, debt structures, and banking relationships
- Proven leadership experience managing and developing teams
- Ability to work full-time on-site in Downtown Atlanta
Preferred
- CPA, CFA, and/or MBA
- Experience supporting private equity-backed or highly leveraged organizations
- Global or multinational corporate experience
- Exposure to mergers, acquisitions, and post-acquisition integration