Director, Treasury & Cash Management Reports To: Chief Financial Officer Location: Deerfield, IL Date: July 2026 Meridian Group International is a privately held IT services provider headquartered in ...
Director, Treasury & Cash Management Reports To: Chief Financial Officer Location: Deerfield, IL Date: July 2026 Meridian Group International is a privately held IT services provider headquartered in ...
Director, Treasury - Cash Management
Oakland, CA · On-site
$200 - $250/hr
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Director, Treasury - Cash Management
Oakland, CA · On-site
$200 - $250/hr
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Technical Summary The Director of Treasury oversees the organization's treasury function, managing cash positions, liquidity, banking operations, payment systems, merchant processing, governance, and ...
Treasury Cash Management Manager We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company ...
Treasury Cash Management Manager We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company ...
Treasury Cash Management Manager Duration: 3 Months Location: Portland, OR - Hybrid/Remote We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to ...
Treasury Cash Management Manager Duration: 3 Months Location: Portland, OR - Hybrid/Remote We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to ...
Director, Treasury, Cash & Payroll
Anchorage, AK · Remote
$130K - $178K/yr
Debt Management & Compliance * Administer the Company's debt portfolio and credit facilities, including interest and principal payments, borrowing activity, compliance deliverables, renewals and ...
Director, Treasury, Cash & Payroll
Anchorage, AK · Remote
$130K - $178K/yr
Debt Management & Compliance * Administer the Company's debt portfolio and credit facilities, including interest and principal payments, borrowing activity, compliance deliverables, renewals and ...
Treasury Cash Management Manager We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company ...
Treasury Cash Management Manager We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company ...
Director, Treasury, Cash & Payroll
Anchorage, AK · On-site
$130K - $178K/yr
Treasury, Liquidity & Cash Management Lead the Company's treasury and banking structure, including ... including wages, direct deposits, taxes, garnishments and other deductions. Ensure payroll ...
Director, Treasury, Cash & Payroll
Anchorage, AK · On-site
$130K - $178K/yr
Treasury, Liquidity & Cash Management Lead the Company's treasury and banking structure, including ... including wages, direct deposits, taxes, garnishments and other deductions. Ensure payroll ...
Director, Treasury, Cash & Payroll
Anchorage, AK · On-site
$130K - $178K/yr
Debt Management & Compliance * Administer the Company's debt portfolio and credit facilities, including interest and principal payments, borrowing activity, compliance deliverables, renewals and ...
Director, Treasury, Cash & Payroll
Anchorage, AK · On-site
$130K - $178K/yr
Debt Management & Compliance * Administer the Company's debt portfolio and credit facilities, including interest and principal payments, borrowing activity, compliance deliverables, renewals and ...
Engineer, Treasury & Cash Management
Washington, DC · On-site +1
Position Summary The Engineer, Treasury & Cash Management Technology sits within Carlyle's Treasury ... Curious and self-directed. You look beyond assigned tasks to spot improvements, suggest ...
Engineer, Treasury & Cash Management
Washington, DC · On-site +1
Position Summary The Engineer, Treasury & Cash Management Technology sits within Carlyle's Treasury ... Curious and self-directed. You look beyond assigned tasks to spot improvements, suggest ...
Accounting Manager, Treasury & Cash Management
Irvine, CA · On-site
$142K - $152K/yr
This position reports to the Director of Accounting and is based onsite in our Irvine, CA office. As the Accounting Manager, Treasury & Cash Management you will have an opportunity to: * Lead and ...
Accounting Manager, Treasury & Cash Management
Irvine, CA · On-site
$142K - $152K/yr
This position reports to the Director of Accounting and is based onsite in our Irvine, CA office. As the Accounting Manager, Treasury & Cash Management you will have an opportunity to: * Lead and ...
Accounting Manager, Treasury & Cash Management
$142K - $152K/yr
This position reports to the Director of Accounting and is based onsite in our Irvine, CA office. As the Accounting Manager, Treasury & Cash Management you will have an opportunity to: * Lead and ...
Accounting Manager, Treasury & Cash Management
$142K - $152K/yr
This position reports to the Director of Accounting and is based onsite in our Irvine, CA office. As the Accounting Manager, Treasury & Cash Management you will have an opportunity to: * Lead and ...
Treasury Manager
San Francisco, CA · On-site
... cash management and subsidiary liquidity management. * Strong communication skills, ability to multitask across complex initiatives, and high attention to detail. * Direct experience with treasury ...
Treasury Manager
San Francisco, CA · On-site
... cash management and subsidiary liquidity management. * Strong communication skills, ability to multitask across complex initiatives, and high attention to detail. * Direct experience with treasury ...
Director, Treasury
San Francisco, CA · On-site
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury
San Francisco, CA · On-site
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury
San Francisco, CA · On-site
$240K - $320K/yr
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury
San Francisco, CA · On-site
$240K - $320K/yr
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury
San Francisco, CA · On-site
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury
San Francisco, CA · On-site
As Director, Treasury, reporting to the VP, Treasurer, you'll be a key leader on the Treasury team ... Own treasury cash management strategy, including liquidity planning and working capital ...
Director, Treasury Operations (Baltimore)
Baltimore, MD · On-site
$150K - $175K/yr
Join to apply for the Director, Treasury Operations role at Howard University We are looking for ... Duties will include cash management, reporting, ledger management, reconciliations, interaction ...
Director, Treasury Operations (Baltimore)
Baltimore, MD · On-site
$150K - $175K/yr
Join to apply for the Director, Treasury Operations role at Howard University We are looking for ... Duties will include cash management, reporting, ledger management, reconciliations, interaction ...
Director of Treasury
Memphis, TN · On-site
Director of Treasury & Cash Management Location: Memphis, TN A well-established, financially strong organization is seeking an experienced Director of Treasury & Cash Management to provide strategic ...
Quick apply
Director of Treasury
Memphis, TN · On-site
Director of Treasury & Cash Management Location: Memphis, TN A well-established, financially strong organization is seeking an experienced Director of Treasury & Cash Management to provide strategic ...
Director Treasury Cash Management information
See salary details
$89K - $101.8K
2% of jobs
$101.8K - $114.6K
0% of jobs
$114.6K - $127.5K
7% of jobs
$138.6K is the 25th percentile. Wages below this are outliers.
$127.5K - $140.3K
18% of jobs
The median wage is $149.5K / yr.
$140.3K - $153.1K
32% of jobs
$153.1K - $165.9K
16% of jobs
$166.4K is the 75th percentile. Wages above this are outliers.
$165.9K - $178.7K
7% of jobs
$178.7K - $191.5K
5% of jobs
$191.5K - $204.4K
2% of jobs
$204.4K - $217.2K
9% of jobs
$217.2K - $230K
1% of jobs
$89K
$160K
$230K
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Director, Treasury & Cash Management
Deerfield, IL • On-site
Full-time
Re-posted 22 days ago
Job description
Job Title: Director, Treasury & Cash Management
Reports To: Chief Financial Officer
Location: Deerfield, IL
Date: July 2026
Meridian Group International is a privately held IT services provider headquartered in Deerfield, IL. Since 1979, Meridian has helped customers across four continents turn their existing technology tools and resources into measurable business value while adopting solutions that support their strategy and growth. With technology adoption experts holding more than 3,000 certifications, Meridian helps organizations maximize their technology investments through flexible consumption and deployment models, contract and service management, global support, and customized financing options.
Position Summary
Meridian Group International is seeking a hands-on treasury professional to support the management and standardization of treasury operations across our global organization. Reporting directly to the CFO, the Director, Treasury & Cash Management will be responsible for cash visibility, liquidity reporting, banking relationship management, debt monitoring, foreign exchange analysis, treasury process improvement, and treasury reporting across North America, Europe, and APAC.
This role is designed to support Meridian's treasury standardization and automation initiative by establishing consistent treasury processes, reporting, controls, and banking practices across operating companies while preserving local operational flexibility and banking requirements. The position will play a key role in supporting the company's global banking relationship and improving visibility into worldwide cash and liquidity positions. The focus is on execution, reporting, analytics, process improvement, and treasury governance.
Duties and Responsibilities
Global Cash Management
- Consolidate and maintain daily visibility of global cash balances across all legal entities and banking partners.
- Prepare weekly, monthly, and quarterly cash flow forecasts.
- Monitor liquidity by country, legal entity, and currency.
- Identify opportunities to improve cash utilization and reduce idle cash balances.
- Assist operating companies in forecasting cash needs and funding requirements.
- Develop reporting that provides management with visibility into global liquidity and cash movements.
Treasury Standardization
- Establish and maintain standardized treasury policies, procedures, and reporting practices across the organization.
- Promote consistent cash forecasting methodologies across business units.
- Develop standardized treasury KPIs and reporting packages.
- Support treasury governance initiatives and process improvements.
- Document treasury workflows and best practices.
- Assist with the implementation of common treasury tools and reporting platforms across operating companies.
Banking Relationship Management
- Serve as Meridian's primary day-to-day treasury contact with global banking partner.
- Coordinate bank account opening, maintenance, and closure activities.
- Manage banking signatory documentation and user access administration.
- Monitor banking service quality, fees, and treasury platform utilization.
- Support implementation of treasury management services and reporting capabilities.
- Assist with banking structure optimization and account rationalization where appropriate.
Debt & Liquidity Monitoring
- Monitor revolving credit facility utilization and local borrowing arrangements.
- Track interest expense and support borrowing optimization initiatives.
- Identify opportunities to reduce local debt through improved liquidity planning and cash deployment.
- Prepare debt reporting and covenant compliance schedules.
- Support lender reporting and financing-related information requests.
Foreign Exchange & Financial Risk Reporting
- Monitor global currency exposures and foreign exchange impacts.
- Prepare regular reporting on FX gains, losses, exposures, and currency trends.
- Support development and maintenance of FX management processes.
- Assist the CFO in evaluating foreign exchange risks and mitigation opportunities.
- Maintain visibility of currency exposures across operating entities.
Treasury Analytics & Reporting
- Develop and maintain treasury dashboards and management reporting.
- Provide monthly reporting on:
- Global cash position
- Debt balances
- Liquidity metrics
- Interest expense
- Banking costs
- FX exposures
- Support acquisition due diligence and treasury integration activities.
- Ability to interface with ERP and support reconciliation requests.
- Create analytical models to improve treasury decision-making.
Internal Controls & Compliance
- Maintain treasury policies, procedures, and documentation.
- Support internal and external audits related to treasury activities.
- Monitor banking authorities and payment controls.
- Ensure compliance with company policies and banking requirements.
- Assist with fraud prevention and treasury security initiatives.
Qualifications & Requirements
Required
- Bachelor's degree in Finance, Accounting, Economics, Business, or related discipline.
- 5-10 years of treasury, corporate finance, FP&A, accounting, or banking experience.
- Strong understanding of:
- Cash forecasting
- Liquidity management
- Banking products and services
- Debt facilities
- Financial reporting
- Advanced Excel skills and strong analytical capabilities.
- Ability to work independently in a hands-on role.
- Strong communication and project management skills.
Preferred
- Corporate treasury experience within a multinational organization.
- Certified Treasury Professional (CTP).
- Experience working with large global banking institutions.
- Experience with treasury reporting tools, Power BI, or business intelligence platforms.
- Experience supporting global operations across multiple currencies and jurisdictions.
Meridian Group International, Inc. provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristic protected by federal, state, or local laws. This policy applies to all terms and conditions of employment, including recruiting, hiring, placement, promotion, termination, layoff, recall, transfer, leaves of absence, compensation, and training.
Employment Type: Full-Time