Vice President, Deputy Treasurer
Gilead Sciences
August 10, 2026
On-site
San Francisco Bay Area
Corporate Functions
Vice President, Deputy Treasurer (Treasury)
Reporting to the Treasurer, lead Gileadโs global Treasury organization (Treasury Operations, Capital Markets, Investments, Foreign Exchange, Financial Risk Management, Liquidity Management). Oversee day-to-day Treasury; partner with the Treasurer, CFO, and Finance leadership to support capital allocation, optimize liquidity, strengthen risk management, advance Treasury strategy, and build team capability. Provide external representation with rating agencies, banking partners, debt investors, and other stakeholders. Based at Gilead HQ in Foster City, California.
Key Responsibilities
- Treasury Operations & Liquidity: Oversee cash management, liquidity planning/forecasting, and banking infrastructure; optimize global liquidity/funding/working capital; improve operations via process optimization, automation, and operational excellence with strong controls.
- Capital Markets/Investments/Risk: Support capital structure planning and financing (public debt, refinancing); oversee investment portfolio and liquidity deployment; lead enterprise FX risk management (hedging, exposure, risk mitigation); manage external financial institution relationships.
- Treasury Transformation/Continuous Improvement: Lead modernization (automation, AI-enabled capabilities, process improvement); evaluate processes/tech/controls; support Finance transformation (e.g., SAP optimization).
- Team Leadership: Lead/develop/mentor global team; succession planning and capability building; set priorities, goals, and performance expectations.
Qualifications/Skills
- 15+ years progressive Treasury leadership in a multinational public company.
- Broad Treasury expertise (ops, liquidity, capital markets, investments, FX, financial risk).
- Experience with public debt/refinancing/capital structure.
- Global cash management and liquidity planning across jurisdictions.
- Strong enterprise FX risk/hedging knowledge (incl. accounting implications).
- Partner experience with investment banks and rating agencies.
- Proven Treasury modernization via process/automation/tech transformation.
- Ability to lead global teams; executive presence; exceptional communication/influencing (incl. senior exec/Board exposure).
- Bachelorโs in Finance/Accounting (MBA preferred).
Application
- Apply via the Internal Career Opportunities portal in Workday.
Reporting to the Treasurer, lead Gileadโs global Treasury organization (Treasury Operations, Capital Markets, Investments, Foreign Exchange, Financial Risk Management, Liquidity Management). Oversee day-to-day Treasury; partner with the Treasurer, CFO, and Finance leadership to support capital allocation, optimize liquidity, strengthen risk management, advance Treasury strategy, and build team capability. Provide external representation with rating agencies, banking partners, debt investors, and other stakeholders. Based at Gilead HQ in Foster City, California.
Key Responsibilities
- Treasury Operations & Liquidity: Oversee cash management, liquidity planning/forecasting, and banking infrastructure; optimize global liquidity/funding/working capital; improve operations via process optimization, automation, and operational excellence with strong controls.
- Capital Markets/Investments/Risk: Support capital structure planning and financing (public debt, refinancing); oversee investment portfolio and liquidity deployment; lead enterprise FX risk management (hedging, exposure, risk mitigation); manage external financial institution relationships.
- Treasury Transformation/Continuous Improvement: Lead modernization (automation, AI-enabled capabilities, process improvement); evaluate processes/tech/controls; support Finance transformation (e.g., SAP optimization).
- Team Leadership: Lead/develop/mentor global team; succession planning and capability building; set priorities, goals, and performance expectations.
Qualifications/Skills
- 15+ years progressive Treasury leadership in a multinational public company.
- Broad Treasury expertise (ops, liquidity, capital markets, investments, FX, financial risk).
- Experience with public debt/refinancing/capital structure.
- Global cash management and liquidity planning across jurisdictions.
- Strong enterprise FX risk/hedging knowledge (incl. accounting implications).
- Partner experience with investment banks and rating agencies.
- Proven Treasury modernization via process/automation/tech transformation.
- Ability to lead global teams; executive presence; exceptional communication/influencing (incl. senior exec/Board exposure).
- Bachelorโs in Finance/Accounting (MBA preferred).
Application
- Apply via the Internal Career Opportunities portal in Workday.