Treasurer
A.O. Smith
- Level
- Mid
- H-1B history
- 5 approvals (FY2023)
About this role
Company / Location Information
A.O. Smith is a global leader applying innovative technologies and energy-efficient solutions to products manufactured and marketed worldwide. The company is one of the world’s leading manufacturers of residential and commercial water heating equipment and boilers, as well as a manufacturer of water treatment products for residential and light commercial applications. A. O. Smith is headquartered in Milwaukee, Wisconsin, with approximately 12,000 employees at operations in the United States, Canada, China, India, Mexico, the Netherlands, and the United Kingdom. Primary Function
A. O. Smith Corporation (NYSE: AOS), a global leader in water heating and water treatment solutions, is seeking an experienced and strategic Treasurer to lead the Company's global treasury function. Reporting to the Vice President, Investor Relations and Corporate FP&A, the Treasurer is responsible for liquidity management, capital structure planning, banking relationships, investments, pension oversight, financial risk management, insurance programs, and treasury operations. The role also leads enterprise working capital and cash optimization initiatives that enhance free cash flow, balance sheet efficiency, and shareholder value creation. As a key member of the finance leadership team, the Treasurer partners with business and functional leaders to support capital allocation decisions, strategic investments, acquisitions, financing activities, and enterprise growth initiatives while ensuring strong financial discipline, risk management, and operational executio n. Responsibilities
Treasury Leadership & Liquidity Management
Lead all aspects of the Company's global treasury function, including liquidity management, cash forecasting, investments, debt administration, banking relationships, intercompany funding, and treasury operations. Develop short- and long-term liquidity forecasts to support business operations, strategic planning, and capital deployment decisions. Optimize global cash positioning, cross-border funding strategies, and foreign cash repatriation activities. Ensure strong governance, internal controls, SOX compliance, and continuous improvement of treasury processes, systems, and reporting.
Working Capital Strategy & Cash Optimization
Partner with Operations, Supply Chain, Procurement, Commercial, Shared Services, and Finance teams to improve working capital performance and cash conversion cycle metrics. Lead initiatives to optimize inventory, receivables, payables, and free cash flow generation. Develop working capital analytics, benchmarks, and performance metrics to support executive decision-making. Identify and implement leading practices that improve cash generation, balance sheet efficiency, and return on invested capital.
Capital Structure & Financing
Support development and execution of the Company's capital structure and funding strategy. Manage relationships with lenders, banking partners, and financing counterparties. Lead negotiation, administration, and compliance monitoring of credit facilities and financing arrangements. Evaluate financing alternatives and support acquisitions, strategic investments, and growth initiatives.
Financial Risk Management, Insurance & Governance
Lead foreign exchange, interest rate, and other financial risk management programs. Develop and execute appropriate hedging and risk mitigation strategies consistent with Company policy and risk tolerance. Oversee global insurance and risk financing programs, including property, casualty, executive liability, cyber, and other corporate coverages. Manage relationships with insurance brokers, carriers, actuaries, and external advisors. Partner with Legal, Operations, Human Resources, Information Technology, and business leaders to assess risk exposures and develop mitigation strategies. Maintain treasury, insurance, and risk management policies, governance frameworks, and