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Director Treasury Operations Jobs in Florida (NOW HIRING)

Manage all global treasury operations, including developing, enhancing, and implementing treasury policies and procedures, compliance, and internal controls * Manage daily cash operations, ensuring ...

Position Summary The Specialist, Treasury will be responsible for handling trust and escrow ... Experience of Elite 3E is advantageous This role reports to Director, Finance Operations ...

Position Summary The Specialist, Treasury will be responsible for handling trust and escrow ... Experience of Elite 3E is advantageous This role reports to Director, Finance Operations ...

AVP, Treasury

Jacksonville, FL ยท On-site

$120 - $180/hr

The AVP, Treasury will play a crucial role in driving strategic growth and ensuring the financial stability of Cantor Fitzgerald's broker-dealer operations. This senior-level position involves direct ...

Key responsibilities include leading, directing, and coordinating the implementation of highly ... Sales & Relationship Managers, Product Managers, Compliance and Operations) and vendors in order to ...

Showing results 21-40

Director Treasury Operations information

What is a director treasury operations?

A Director of Treasury Operations is a senior finance professional responsible for overseeing an organization's cash management, banking relationships, liquidity planning, and risk management related to financial assets. This role ensures the efficient handling of company funds, compliance with financial regulations, and implementation of strategies to optimize financial performance. Directors of Treasury Operations often lead teams, develop policies, and collaborate with other departments to support the organization's financial goals.

What are the key skills and qualifications needed to thrive as a director treasury operations?

To thrive as a Director of Treasury Operations, you need in-depth knowledge of cash management, financial analysis, and risk management, typically supported by a degree in finance or accounting and significant relevant experience. Expertise in treasury management systems (TMS), ERP platforms, and certifications such as CTP (Certified Treasury Professional) are highly valued. Strong leadership, strategic thinking, and effective communication skills help drive cross-functional collaboration and informed decision-making. Mastery of these competencies ensures the organization's liquidity, minimizes risk, and supports overall financial stability.

What are some common challenges faced by a director treasury operations when managing global cash flows?

A Director of Treasury Operations often encounters challenges related to managing liquidity across multiple currencies and jurisdictions, navigating regulatory requirements in different countries, and mitigating risks from foreign exchange fluctuations. Coordinating with regional finance teams to ensure real-time visibility and control of cash positions is also crucial. Effective use of treasury management systems and clear communication with internal stakeholders can help address these complexities and support the organization's financial stability.

What is the difference between Director Treasury Operations vs Treasury Manager?

AspectDirector Treasury OperationsTreasury Manager
ResponsibilitiesOversees entire treasury functions, including cash management, risk management, and strategic planningManages daily cash operations, banking relationships, and short-term funding
Required CredentialsBachelor's degree, often CPA or CFA, extensive treasury experienceBachelor's degree, treasury or finance experience, relevant certifications beneficial
Work EnvironmentSenior leadership, strategic planning, cross-department collaborationOperational focus, team management, process optimization

The main difference between a Director Treasury Operations and a Treasury Manager lies in scope and strategic involvement. The Director oversees the entire treasury function with a focus on strategic planning and leadership, while the Treasury Manager handles daily operations and tactical tasks. Both roles require relevant finance credentials and experience, but the Director's role is more senior and strategic.

What are the most commonly searched types of Treasury Operations jobs in Florida?

The most popular types of Treasury Operations jobs in Florida are:

What are popular job titles related to Director Treasury Operations jobs in Florida?

For Director Treasury Operations jobs in Florida, the most frequently searched job titles are:

What job categories do people searching Director Treasury Operations jobs in Florida look for?

The top searched job categories for Director Treasury Operations jobs in Florida are:

What cities in Florida are hiring for Director Treasury Operations jobs?

Cities in Florida with the most Director Treasury Operations job openings:

Infographic showing various Director Treasury Operations job openings in Florida as of August 2026, with employment types broken down into 1% As Needed, 83% Full Time, 13% Part Time, 1% Temporary, and 2% Contract. Highlights an 93% Physical, 2% Hybrid, and 5% Remote job distribution.

Director, Global Treasurer

Insightec

Miami, FL โ€ข On-site, Remote

Full-time

Re-posted 23 days ago


Job description

Description
Insightec is a growing medical technology company transforming patient lives through innovative incisionless surgery.
Our culture is as unique as our people, a diverse global team, with different ideas, skills, interests, and cultural backgrounds driven by our core values - Our Patients, Integrity, Team, Quality and Innovation.
Our dedication to making a real impact on the lives of millions of people and paving the path to a bright future for healthcare, is what bonds us as a Team. We work together in a dynamic collaborative environment to deliver successfully while believing and driving a life-work balance philosophy that encourages our employees to do things that are meaningful outside of work. Every role is significant, your voice is heard, and your ideas are encouraged. We challenge and empower our people to be great at what they do while providing a flexible work environment.
Walking through our corridors, you will be inspired by stories of career journeys at Insightec. We take pride in growing internal talent and encourage our employees to achieve their professional ambitions. With employees in Israel - Haifa and K. Ono, Miami and Dallas, Shanghai, Tokyo and Europe, we offer in each region competitive perks and benefits.
Do the most meaningful work of your career by joining us on our mission to transform tomorrows, today.
Position Overview:
The Global Treasurer is responsible for managing our global treasury functions by developing and maintaining policies and procedures while leading cash management and forecasting, foreign exchange and interest rate risk mitigation, investment strategy, letters of credit / guarantees, credit agreement compliance, and commercial insurance programs. This is a great opportunity to lead strategic initiatives at a global scale.
What you will be doing:
  • Manage all global treasury operations, including developing, enhancing, and implementing treasury policies and procedures, compliance, and internal controls
  • Manage daily cash operations, ensuring sufficient funds are available to support financial obligations, and reporting across multiple currencies
  • Develop cash flow forecasts under an appropriate cadence to identify any deviations to budget
  • Manage timely establishment and maturity of letters of credit / guarantees
  • Lead financial risk management of global commercial insurance programs, foreign exchange and interest rate risk
  • Lead all global banking services, including corporate travel and purchase credit cards
  • Manage all banking relationships and treasury technology infrastructure
  • Lead all investment activities to maximize returns while maintaining acceptable risk levels
  • Manage required credit facility reporting, including covenant compliance reporting
  • Manage commercial insurance renewals with brokers, maintain current Certificates of Insurance (COI) internally and with third parties, and partner with internal departments to understand current and future risk management requirements
  • Stay current on financial industry trends, market conditions, regulations, and best practices, to continuously improve processes and drive efficiencies
  • Partner with the Company's Internal Audit Manager to document and enhance the Company's Order to Cash and Treasury / Risk Management control environments to ensure Sarbanes Oxley ("SOX") compliance requirements
  • Contribute to a business climate and culture that encourages integrity, respect, excellence and innovation
  • Other duties as assigned based on the needs of the function or the business

Requirements
Qualifications:
  • Education (required): Bachelor's Degree or equivalent in Finance, Accounting, or related field
  • Professional Certifications (preferred): MBA, CPA, CFA, and/or CTP
  • Experience:
  • At least five (5) years of progressive leadership experience with a multinational organization in cash management, treasury, and insurance risk management
  • Strong multinational experience with foreign currency
  • Strong financial acumen and capabilities including skills to create, utilize, and analyze complex financial models
  • Proven ability to build and lead high-performing teams
  • Ability to work independently, multi-task, and execute in a fast-paced environment
  • Self-motivated and strong analytical/problem solving skills
  • Strong interpersonal skills and ability to communicate (verbal/writing) effectively in English
  • Ability to collaborate at all levels of the organization and across other functional areas, in addition to external partners
  • Excellent organizational skills, ability to manage multiple priorities with minimal oversight, and strong attention to detail
  • Ability to take ownership, meet deadlines, and execute on strategic decisions
  • Ability to maintain a high level of confidentiality
  • Strong work ethic with unquestionable integrity
  • Experience with treasury management systems, banking platforms (including eBanking portals), and cash management products
  • Strong MS Office skills, especially in Excel and PowerPoint
  • Ability to travel as limited periodic domestic and/or international travel may be required

Recruiting Agencies: We do not accept unsolicited resumes from third parties for any of our open positions. To submit resumes for our jobs, a fully executed contract must be in place. We are not working with additional third party agencies at this time.