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Cash Manager Jobs in Iowa (NOW HIRING)

Oversee daily cash management activities, including cash application and bank account administration. * Manage daily banking transactions, including ACH payments, wire transfers, and check processing.

Oversee daily cash management activities, including cash application and bank account administration. * Manage daily banking transactions, including ACH payments, wire transfers, and check processing.

Oversee daily cash management activities, including cash application and bank account administration. * Manage daily banking transactions, including ACH payments, wire transfers, and check processing.

Revenue Manager

Davenport, IA · On-site

$92K - $120K/yr

Definition Manages the city's revenue collection, cash management, and financial forecasting. The City of Davenport offers a comprehensive benefit package. The cost for a family plan for medical ...

Revenue Manager

Davenport, IA · On-site

$92K - $120K/yr

Non-Bargaining Definition Manages the city's revenue collection, cash management, and financial forecasting. The City of Davenport offers a comprehensive benefit package. The cost for a family plan ...

You'll manage records, cash flow, and financial reporting while fostering a professional, collaborative environment. By working at a Ford dealership, you can be a part of a brand that honors the past ...

You'll manage records, cash flow, and financial reporting while fostering a professional, collaborative environment. By working at a Ford dealership, you can be a part of a brand that honors the past ...

You'll manage records, cash flow, and financial reporting while fostering a professional, collaborative environment. By working at a Ford dealership, you can be a part of a brand that honors the past ...

You'll manage records, cash flow, and financial reporting while fostering a professional, collaborative environment. By working at a Ford dealership, you can be a part of a brand that honors the past ...

You'll manage records, cash flow, and financial reporting while fostering a professional, collaborative environment. By working at a Ford dealership, you can be a part of a brand that honors the past ...

Showing results 41-60

Cash Manager information

See Iowa salary details

$9

$26

$53

How much do cash manager jobs pay per hour?

As of Aug 23, 2026, the average hourly pay for cash manager in Iowa is $26.40, according to ZipRecruiter salary data. Most workers in this role earn between $16.92 and $33.65 per hour, depending on experience, location, and employer.

What is a cash manager?

A cash manager handles financial processes for a business or organization. Job duties include implementing monetary policies, overseeing payroll and cash flow operations, supervising junior accounting personnel, and assisting with annual audits. The qualifications for a career as a cash manager are a bachelor’s degree in finance or accounting, project management skills, and experience working on the financial side of a business. Some employers prefer candidates with a Master of Business Administration (MBA). Voluntary professional certifications from organizations like the Cash Management Association of the Americas are also available and may increase job prospects.

What are the essential skills and qualifications needed to excel as a cash manager?

To thrive as a Cash Manager, you need strong analytical abilities, financial acumen, and a relevant degree such as finance, accounting, or business. Familiarity with treasury management systems, cash forecasting tools, and financial reporting software is typically required, along with certifications like Certified Treasury Professional (CTP) being advantageous. Excellent attention to detail, problem-solving skills, and effective communication are standout soft skills in this role. These competencies are crucial for ensuring optimal liquidity, minimizing financial risk, and supporting the organization's overall financial stability.

What are some common challenges faced by cash managers and how can they be addressed?

Cash Managers often deal with fluctuating cash flows, tight deadlines, and the need to forecast accurately despite market volatility. Managing liquidity while optimizing returns and maintaining compliance with regulatory requirements can be complex. Building strong relationships with banks, leveraging cash management software, and regularly reviewing cash positions can help Cash Managers anticipate and overcome these challenges. Open communication with accounting, treasury, and finance teams is also crucial for smooth operations.

What is the difference between Cash Manager vs Treasury Analyst?

AspectCash ManagerTreasury Analyst
Primary FocusManaging daily cash flow, liquidity, and banking relationshipsAnalyzing financial data, forecasting cash needs, supporting treasury functions
Required CredentialsTypically a degree in finance or accounting; certifications like CPA or CFA are commonSimilar credentials; often holds finance or accounting degrees, with CFA or CPA beneficial
Work EnvironmentCorporate finance departments, banking institutionsCorporate treasury teams, financial institutions
Employer & Industry UsageUsed across industries to ensure liquidity and cash efficiencyCommon in large corporations and financial firms for cash analysis and planning

While both roles involve financial analysis and require similar credentials, the Cash Manager primarily oversees daily cash operations and liquidity management, whereas the Treasury Analyst focuses on analyzing financial data and forecasting cash needs to support treasury strategies.

What are the most commonly searched types of Cash jobs in Iowa?

The most popular types of Cash jobs in Iowa are:

What are popular job titles related to Cash Manager jobs in Iowa?

For Cash Manager jobs in Iowa, the most frequently searched job titles are:

What cities in Iowa are hiring for Cash Manager jobs?

Cities in Iowa with the most Cash Manager job openings:

Infographic showing various Cash Manager job openings in Iowa as of August 2026, with employment types broken down into 1% As Needed, 85% Full Time, 13% Part Time, and 1% Contract. Highlights an 81% Physical, 2% Hybrid, and 17% Remote job distribution, with an average salary of $54,909 per year, or $26.4 per hour.

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Posted 10 days ago


Job description

Old Republic Bitco is seeking aTreasury Managerto join our Home Office located inDavenport, IA. As a respected specialty insurer with 11 branch offices across 10 states, OR Bitco delivers tailored insurance solutions to complex industries such as construction, forest products, and oil and gas.

This position is open to hybrid work arrangement, blending flexibility with meaningful in-person collaboration.

At OR Bitco, our work is guided by core values. We care deeply about our people, partners, and customers. We are committed to excellence and accountability. We deliver on our promises with integrity and precision, and we strive to make a meaningful impact in everything we do. These values drive our mission to protect the people and industries that keep America running.

Join the OR Bitco team and be part of a workplace built on collaboration, open communication, and a positive culture that supports growth and success. If you are passionate about operational excellence and ready to make a measurable impact within a growing, industry-leading organization, OR Bitco offers the platform and challenge you have been seeking.

Position Summary:

In this role, you'll be responsible for overseeing the day-to-day treasury operations, accounts payable, accounts receivable, and premium billing support functions for Old Republic Bitco. You'll lead a team of six professionals who are responsible for cash management, payment processing, collections, and billing operations inclusive of customer servicing, while ensuring efficient, accurate, and timely financial transactions.

The Treasury Manager serves as Finance's primary liaison for the ongoing Duck Creek Billing implementation, partnering with IT and various business teams, to support project activities while maintaining the existing premium billing system during the transition. This role emphasizes operational excellence, process improvement, and outstanding customer service across finance operations.

Primary Responsibilities:

Treasury Operations

  • Oversee daily cash management activities, including cash application and bank account administration.
  • Manage daily banking transactions, including ACH payments, wire transfers, and check processing.
  • Ensure timely completion of bank reconciliations.
  • Monitor cash balances and assist with short-term cash forecasting.
  • Maintain banking relationships and resolve treasury-related issues.

Accounts Payable & Accounts Receivable

  • Supervise the daily activities of the Accounts Payable and Accounts Receivable teams.
  • Ensure timely vendor payments and accurate processing of invoices.
  • Oversee premium cash application and collections activities.
  • Monitor aging reports and work with business partners to resolve outstanding items.
  • Ensure compliance with company policies and internal controls.

Billing Systems

  • Serve as Finance's representative on the Duck Creek Billing implementation project.
  • Coordinate Finance testing activities and assist with user acceptance testing (UAT).
  • Work with IT and business partners to identify and resolve billing issues.
  • Support conversion activities from the current billing platform to Duck Creek.
  • Maintain and support the existing billing system throughout implementation.
  • Assist with documenting new billing processes and procedures.

Leadership

  • Supervise, coach, and develop a team of six employees.
  • Assign and prioritize daily work to meet departmental deadlines.
  • Conduct performance evaluations and provide ongoing coaching.
  • Promote teamwork and excellent customer service within the department.
  • Identify training and development opportunities for team members.

Process Improvement

  • Recommend improvements to treasury, billing, AP, and AR processes.
  • Assist with automation and system enhancement initiatives.
  • Develop operational reports and monitor department performance metrics.
  • Participate in finance and cross-functional projects as assigned.

Compliance & Controls

  • Maintain appropriate internal controls over treasury and payment activities.
  • Support internal and external audits.
  • Ensure compliance with company policies and regulatory requirements.
  • Maintain department procedures and documentation.

Qualifications:

Education

  • Bachelor's degree in accounting, Finance, Business, or a related field preferred.

Experience

  • 5+ years of accounting, treasury, or finance experience.
  • Prior experience leading or supervising a team preferred.
  • Experience with Accounts Payable, Accounts Receivable, or cash management.
  • Insurance industry experience is highly preferred
  • Experience with financial or billing systems is preferred.

Knowledge & Skills

  • Understanding of treasury and cash management processes.
  • Strong organizational and problem-solving skills.
  • Effective written and verbal communication skills.
  • Proficiency with Microsoft Excel and Microsoft Office.
  • Ability to manage multiple priorities and meet deadlines.
  • Experience working with ERP or financial systems.
  • Ability to build collaborative relationships across departments.

Benefits:

  • Competitive salary paired with a comprehensive benefits package
  • Generous paid time off, plus 12 paid holidays annually
  • Comprehensive health coverage, including medical, dental, and vision plans
  • Additional protection through accident, critical illness, and hospital indemnity insurance
  • Company-paid life insurance equal to 2 annual salary
  • Company-paid short-term and long-term disability coverage
  • 401(k) Savings and Profit-Sharing Plan through Old Republic
  • Ongoing education, training, and professional development opportunities
  • Support for industry certifications and insurance designations, including financial assistance
  • Opportunities to give back through corporate philanthropy and community service initiatives
  • Optional benefits including travel, commuter, and pet insurance
  • Employee wellness support through a dedicated fitness program