Logotype Muse Group
Global Treasury Manager
Hal Leonard
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Muse Group

Muse Group empowers music makers. We create the world’s most popular apps for playing, recording, and composing music. Through our innovative learning tools, expansive music catalogs, and free open-source software, we make it easier for millions — from beginners to experienced musicians — to be creative every day.

Our talented team of music lovers collaborates all over the globe, from Limassol to Seoul, Boston to Berlin. We’re an ambitious company with the drive and culture of a startup — with many more exciting Muse Group developments to come.

The role is open in Hal Leonard Team, please read more information about our deal with Hal Leonard that happened in 2023 here.

We're seeking a Global Treasury Manager, who will be an integral part of the Finance & Accounting team responsible for the full ownership of the treasury and tax functions for the Group globally.

Photo from Muse Group office
You won't hear water cooler chat about the weather here at Muse, here we are rating our favorite Prince albums and discussing Japanese punk.

Key Responsibilities:


- Effectively partner with and communicate across the Finance & Accounting function
- Work with third-parties, including the company’s banking providers and tax partners, to deliver highly effective outsourced services on a cost effective basis
- Further build out the Tax & Treasury team as the company grows and scales as needed
- Develop and implement effective treasury and tax processes, procedures and internal controls
- Assist with ad hoc treasury and tax projects as needed


- Effectively work with the company’s banking partners to ensure banking and treasury services are optimized, including bank portals (e.g., JP Morgan), a cash management platform and systems integrations. Current banking locations across US, Europe and Australia
- Ability to work with international bank solutions to ensure timely payments (e.g. India, UK, etc.)
- Lead the company’s weekly/monthly/quarterly/annual cash forecasting models, processes and reporting with an eye towards optimizing the status quo and integrating continuous process improvements
- Manage daily cash balances across each jurisdiction to ensure adequate liquidity to meet short-term cash needs and minimize uninvested cash in accordance with established guidelines
- Review bank account reconciliations
- Creation and/or Authorization of payments
- Responsible for Cash Forecasting
- Responsible for Credit Risk management
- Manage formal reports and company bank statements
- Monitor daily cash balances and compliance with lender requirements, escalating as necessary
- Partner with Legal to ensure appropriate corporate governance over global bank accounts
- Partner with Tax to ensure internal cash movements are comply with tax structure and aligned with optimized internal transfer pricing schemes


- Effectively coordinate and communicate with external tax advisors regarding Cayman, US, European and Australian global tax compliance, including but not limited to partnership, corporate, federal, state and VAT/sales & use tax
- Advance the company’s tax strategy and identify areas for short term and longer term optimization
- Provide all information for external tax advisors to fulfill compliance requirements / returns
- Manage necessary tax payments, tax registrations and related administrative tax requirements
- Participate in decision making with respect to taxation impact, including M&A activity, transfer pricing, tax structure, financings and major contracts
- Conduct tax research as necessary and stay informed on potential tax law updates and their related implications to the company
- Evaluate tax strategy and mitigate tax risk

Required Experience: 

  • Minimum of 5 – 7 years of work experience within a combination of both global treasury and tax
  • Bachelor’s degree in Tax, Accounting, Finance or related field
  • NetSuite (or modern ERP) experience preferred, including banking portal integrations
  • JPM online banking portal or comparable experience
  • Certified Treasury Professional (CTP) and/or tax credentials, preferred
  • Experience coordinating with external global tax advisors and managing compliance workstreams
  • Demonstrate strong analytical, organizational and project managements abilities
  • Ability to work in a fast paced, asynchronous environment
  • Proactive energetic approach and able to challenge the status quo
  • Excellent oral and written communication skills
  • Team player with a proven track record of developing teams and talent
we offer
Work remotely or at a co-working place of your choice in your favorite band t-shirt.
Make inspiring products for musicians, artists and creators – no day is the same.
Influence the future of the music industry and change the lives of millions worldwide.
set up
Get a generous allowance for work equipment and co-working spaces (for those not in Cyprus).
Growth and
Receive specialized training, language lessons, conferences and learning materials.
Access to therapy whenever you need it, and assistance in difficult life circumstances.
The way
we work
We believe everyone in the Muse Group team is a leader. That's why our core philosophy is based on our leadership principles.
Live and let live
Take ownership
Have high standards
Deliver results every day
Be specific. Trust. Take action.
Deep dive
Don't cross
the line
Follow the principles of interaction
Focus on the essentials
Don't be an asshole
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Global Treasury Manager
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