Senior Director, Treasury
Halozyme, Inc.
August 14, 2026
Remote friendly (San Diego, CA)
United States
Corporate Functions
Responsibilities:
- Build and advance a scalable cash generation strategy, convertible debt portfolio, and share repurchase program.
- Partner with CFO on liquidity, capital allocation, risk management, and operational excellence (processes, controls, capabilities).
- Develop treasury strategy aligned with corporate objectives; provide board/investor treasury modeling and communications.
- Forecast cash/royalties/milestones, payment timing, capital, share repurchases, and M&A outflows.
- Oversee bank administration, signatory controls, online banking, and reconciliation; evaluate/implement Treasury Management Systems.
- Set and manage short-term investment policies; manage investment portfolio.
- Identify/measure/mitigate risks (FX, interest rate, credit); recommend hedging strategies.
- Support enterprise risk management; recommend/execute share buyback plan; analyze debt capacity and financing options.
- Model organic and M&A valuations; support integration, licensing, and business development.
- Establish and improve treasury policies/procedures and SOX controls; ensure compliance with debt covenants, SEC reporting, and other regulations; provide required reporting.
Requirements:
- Bachelor’s degree and 12+ years diverse financial/business experience.
- 6+ years corporate treasury leadership.
- Experience with convertible debt portfolios and leading share repurchase programs.
- Cross-disciplinary finance experience (controllership, FP&A, tax, program finance, financial reporting).
- Experience advising on M&A; cash flow efficiency initiatives; hedging consulting; global treasury preferred.
- MBA preferred.
Benefits:
- Full benefit program including Employee Stock Purchase Program and 401(k) matching; learning/development and tuition reimbursement.
Application instructions:
- Apply via LinkedIn (use “Apply with LinkedIn”); create an account and set a password (8+ characters, at least one special character, one capital letter, and a number).
- Build and advance a scalable cash generation strategy, convertible debt portfolio, and share repurchase program.
- Partner with CFO on liquidity, capital allocation, risk management, and operational excellence (processes, controls, capabilities).
- Develop treasury strategy aligned with corporate objectives; provide board/investor treasury modeling and communications.
- Forecast cash/royalties/milestones, payment timing, capital, share repurchases, and M&A outflows.
- Oversee bank administration, signatory controls, online banking, and reconciliation; evaluate/implement Treasury Management Systems.
- Set and manage short-term investment policies; manage investment portfolio.
- Identify/measure/mitigate risks (FX, interest rate, credit); recommend hedging strategies.
- Support enterprise risk management; recommend/execute share buyback plan; analyze debt capacity and financing options.
- Model organic and M&A valuations; support integration, licensing, and business development.
- Establish and improve treasury policies/procedures and SOX controls; ensure compliance with debt covenants, SEC reporting, and other regulations; provide required reporting.
Requirements:
- Bachelor’s degree and 12+ years diverse financial/business experience.
- 6+ years corporate treasury leadership.
- Experience with convertible debt portfolios and leading share repurchase programs.
- Cross-disciplinary finance experience (controllership, FP&A, tax, program finance, financial reporting).
- Experience advising on M&A; cash flow efficiency initiatives; hedging consulting; global treasury preferred.
- MBA preferred.
Benefits:
- Full benefit program including Employee Stock Purchase Program and 401(k) matching; learning/development and tuition reimbursement.
Application instructions:
- Apply via LinkedIn (use “Apply with LinkedIn”); create an account and set a password (8+ characters, at least one special character, one capital letter, and a number).