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Treasury and FP&A Manager

AirSculpt
RemoteRemotefull_timePosted 13 Jul 2026

About the role

<p><strong>Overview</strong></p> <p>The Treasury and FP&amp;A Manager is a hybrid that owns the company’s day-to-day treasury operations and&nbsp;supporting strategic finance and FP&amp;A initiatives. On the treasury side, this person will manage the daily cash&nbsp;position, payment processing, cash reporting and forecasting, and serve as a key point of contact for our lenders&nbsp;and banking partners. On the FP&amp;A and strategic finance side, this role will support covenant compliance, capital&nbsp;planning, financial modeling, and ad-hoc analyses that inform key business decisions.</p> <p><strong>About AirSculpt</strong>®&nbsp;</p> <p>AirSculpt Technologies is the national leader in premium body contouring, delivering a next-generation patient experience under its brand, Elite Body Sculpture. Using our proprietary, minimally invasive AirSculpt® method, we've built a fast-growing network of premium centers across North America. As a public company (NASDAQ: AIRS), we hold ourselves to the highest standards of financial integrity, transparency, and governance — and we're looking for a finance leader who shares that commitment.</p> <p><strong>Responsibilities</strong></p> <p><strong>Treasury Operations (~70%)</strong></p> <ul> <li>Prepare and maintain the daily cash position file across all bank accounts and entities; ensure visibility into available liquidity.</li> <li>Manage day-to-day payment processing, including wires, ACH, and other disbursements; ensure payments are properly approved, accurate, and timely.</li> <li>Own short-term and long-term cash forecasting (13-week rolling cash forecast and longer-horizon liquidity models); analyze and explain variances to forecast.</li> <li>Produce weekly and monthly cash reporting packages for executive leadership.</li> <li>Administer bank accounts and online banking platforms, including user access, signatory updates, and account openings/closings.</li> <li>Manage banking and merchant fees; identify opportunities to optimize cash management structure and reduce costs.</li> <li>Support FX exposure monitoring and hedging activity, if applicable.</li> <li>Maintain treasury policies, procedures, and internal controls; partner with accounting to ensure accurate cash accounting and reconciliation.</li> </ul> <p><strong>Strategic Finance, FP&amp;A &amp; Lender Management (~30%)</strong></p> <ul> <li>Serve as a primary point of contact with lenders, agents, and banking partners; manage borrowing base certificates, draw requests, paydowns, and other credit facility activity.</li> <li>Own covenant compliance: build and maintain the compliance model, prepare quarterly compliance certificate

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Company

AirSculpt

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