Senior Manager, Tax and Treasury
The role, in a nutshell:
Chainguard is scaling quickly. More customers, more countries, and more complexity. We're hiring a Senior Manager, Tax and Treasury to build and own the infrastructure behind two critical parts of our finance function.
This is a hands-on role for someone who wants to build, not just maintain. You'll own global tax compliance, treasury operations, banking relationships, and the policies and processes that support them. You'll work closely with Accounting, FP&A, Legal, Deal Desk, and other teams as Chainguard expands internationally and continues to scale.
You should be comfortable operating as the subject matter expert while also getting into the details. We need someone who can manage today's requirements, anticipate tomorrow's complexity, and turn technical tax and treasury issues into clear, practical guidance for the business.
What you’ll do:
Own US federal, state, and international tax compliance, partnering with external advisors on filings, provisions, quarterly estimates, and related requirements
Manage indirect tax, including sales/use tax, VAT, and digital services tax, and oversee tax engine configuration in partnership with Billing and Product teams
Prepare and review tax provisions and financial statement tax disclosures, including deferred tax accounting
Serve as the primary point of contact for tax authority audits, notices, and information requests across jurisdictions
Own transfer pricing documentation and intercompany agreements as our legal entity structure and international footprint evolve
Advise the business on tax implications related to new products, pricing models, contracts, and international expansion
Identify and pursue applicable tax credits and incentives, including R&D tax credits
Monitor global tax legislation and regulatory changes and translate them into practical guidance for the business
Own banking relationships and serve as the primary point of contact for our banking partners
Manage global cash positioning, forecasting, and liquidity in partnership with FP&A
Develop and maintain treasury policies and procedures, including investment guidelines and foreign exchange risk management
Maintain banking compliance requirements, access controls, and signatory documentation
Partner with Deal Desk and Legal on contract structuring and other decisions where tax considerations could create risk or opportunity
Build scalable processes, documentation, controls, and infrastructure as the company grows
Serve as the go-to subject matter expert for tax and treasury questions across the organization
What We’re Looking For:
7+ years of progressive experience in tax and/or treasury, ideally with experience across both functions at a SaaS, software, or technology company
Strong working knowledge of US federal, state, and international tax compliance
Experience with indirect tax, including sales/use tax and VAT
Experience with core treasury responsibilities, including cash forecasting, banking relationships, liquidity management, and FX risk management
Experience building policies and processes from the ground up rather than simply operating within established ones
Strong cross-functional communication skills and the ability to translate technical tax and treasury concepts for non-finance stakeholders
Comfortable operating in a fast-paced environment where priorities evolve and the business needs practical answers quickly
Bachelor's degree in Accounting, Finance, or a related field
CPA and/or Big 4 experience is a plus
Bonus points for:
Experience supporting software licensing or subscription revenue models
Experience with transfer pricing, R&D tax credit claims, or IP structuring
Familiarity with tax automation tools and modern ERP and billing systems
Experience supporting international expansion or building a global legal entity structure
Why This Role:
This is an opportunity to build a foundational finance function at a company operating at the intersection of open source, security, and rapid growth.
You'll have meaningful ownership across both tax and treasury, with the opportunity to shape how Chainguard manages cash, tax risk, compliance, and international complexity as the business scales.
We're not looking for someone to simply inherit a mature function. We're looking for someone who can own the details, build the infrastructure, and make the function better as the company gets bigger. For the right person, the scope of this role will grow significantly alongside Chainguard.
Base Salary Range
$166,000—$195,000 USD