Manager - Treasury

Argano - United States - original posting ->
Status
Open
Remote policy
Remote
Employment type
Not stated
Salary
Not stated
Categories
Treasury-Management, Cash-Management, Finance-And-Accounting, Financial-Analysis, Treasury-Manager, Accounting-and-Treasury-Manager
Tech
remote-countrymanager
Source
himalayas
First observed
2026-09-19 10:37 UTC
Last seen
2026-09-19 10:37 UTC
Source claims posted
2026-09-19 10:26 UTC
Consecutive misses
0 of 10

What the posting says

Overview

We are seeking a hands-on Manager of Treasury responsible for managing and optimizing the company's daily cash position, mitigating financial risks, and contributing to strategic financial decisions. This is a hands-on role that will oversee 3+ direct reports, and reports to the Corporate Controller.

Key Responsibilities

Oversee daily cash positioning and manage short-term liquidity to ensure the organization meets its operational needs. This includes managing daily cash transactions, concentrating funds, and ensuring efficient cash utilization.

Administer bank accounts (opening, closing, maintenance, user set up and entitlements), manage banking platforms, execute wire transfers and other payments, and help maintain strong relationships with banking partners.

Responsible for ensuring all U.S. vendor disbursements are timely and accurately paid and recorded in GL.

Treasury team is responsible for recording all cash transactions for multiple legal entities in multiple countries into the general ledger on a timely basis.

Drive the short- and medium-term cash flow forecasting process, collecting data from various subsidiaries to provide consolidated company-wide cash projections

Manage further consolidation of the Treasury function amongst newly acquired companies and foreign subsidiaries

Lead, mentor, and provide guidance to the treasury team, fostering a culture of accountability and continuous improvement while ensuring high-quality work and professional development.

Identify opportunities to improve treasury processes and procedures

Participate in and lead special projects and ad-hoc financial analysis as requested.

Qualifications

Bachelor’s degree in Finance, Accounting, or related field.

Minimum of 7-8 years of progressive experience in cash management, treasury, banking or related financial analysis roles, including 2-3 years in a leadership or supervisory role

Experience working with multinational organizations and various currencies

Proficiency with large ERP systems is essential; experience with Microsoft Dynamics 365 a plus.

Strong computer skills including advanced Microsoft Excel skills.

Strong analytical and problem-solving skills as well as a focus on continuous improvement.

Excellent written and verbal communication skills to effectively collaborate with stakeholders at all levels

Highly organized and detail-oriented with the ability to work independently with minimal supervision.

Able to efficiently manage workload and thrive in a fast-paced environment

Originally posted on Himalayas

Quality

Completeness: 65%

Not enough history yet to judge honesty signals.

Timeline

  1. *
    #860034 2026-09-19 10:37 UTC
    Published