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Treasury Manager
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Treasury Manager


Position Overview


We are seeking an experienced Treasury Manager to oversee day-to-day treasury operations while playing a key role in the implementation and optimization of a new Treasury Management System (TMS). This individual will be responsible for cash management, liquidity planning, banking relationships, forecasting, controls, and treasury technology.


The ideal candidate combines strong hands-on treasury experience with prior involvement in a TMS or related financial systems implementation and is comfortable partnering across Finance, Accounting, IT, and external banking partners.


  • Key ResponsibilitiesManage daily cash positioning, liquidity, cash forecasting, and funding requirements across the organization.
  • Lead or play a key role in the selection, implementation, testing, and rollout of a Treasury Management System (TMS).
  • Partner with Finance, Accounting, IT, banking partners, and third-party vendors throughout the system implementation.
  • Evaluate existing treasury processes and identify opportunities for automation, standardization, and improved controls.
  • Develop and maintain short- and long-term cash flow forecasts.
  • Manage banking relationships, bank accounts, signatories, fees, and treasury services.
  • Oversee domestic and international cash movements, including wires, ACH transactions, and intercompany funding.
  • Support debt management, credit facilities, investments, and other financing activities as applicable.
  • Establish and maintain strong treasury policies, procedures, internal controls, and documentation.
  • Monitor financial risks, including liquidity, interest rate, foreign exchange, and counterparty exposure.
  • Partner with Accounting on month-end and quarter-end activities, including cash reconciliations and treasury-related reporting.
  • Develop treasury reporting and dashboards to provide management with greater visibility into cash and liquidity.
  • Support ongoing enhancements and optimization of treasury technology following implementation.
  • Assist with special projects, acquisitions, integrations, and other strategic initiatives as needed.
  • QualificationsBachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of progressive treasury, corporate finance, or related experience.
  • Strong hands-on experience with cash management, liquidity planning, and cash forecasting.
  • Prior experience implementing or significantly upgrading a Treasury Management System strongly preferred.
  • Experience with TMS platforms such as Kyriba, GTreasury, FIS, Coupa Treasury, or similar systems is a plus.
  • Strong understanding of banking platforms, payment processes, and treasury controls.
  • Experience partnering with IT, Accounting, Finance, banks, and third-party technology providers.
  • Strong analytical, project management, and problem-solving skills.
  • Ability to manage both day-to-day treasury responsibilities and larger strategic projects simultaneously.
  • Excellent communication skills with the ability to work effectively across multiple functions and levels of an organization.
  • CTP, CPA, MBA, or other relevant certification is a plus.


140k-160k base + bonus


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