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Group Treasury Manager Jobs (NOW HIRING)

Sr. Manager, Treasury

Chicago, IL ยท On-site

$150K - $160K/yr

At Orion Steel Group LLC, our strength starts with our people! As a team we collaborate to solve ... The role of Sr. Treasury Manager is to provide critical support to VP Treasury in key workflows ...

At Orion Steel Group LLC, our strength starts with our people! As a team we collaborate to solve ... The role of Sr. Treasury Manager is to provide critical support to VP Treasury in key workflows ...

Sr. Manager, Treasury

Chicago, IL ยท On-site

$150K - $160K/yr

At Orion Steel Group LLC, our strength starts with our people! As a team we collaborate to solve ... The role of Sr. Treasury Manager is to provide critical support to VP Treasury in key workflows ...

Job Summary: Volaris Group acquires, strengthens, and grows vertical market software companies ... The Portfolio Controller & Treasury Manager will report directly to the Portfolio Finance Manager ...

Senior Treasury Manager

San Francisco, CA ยท On-site

$170K - $200K/yr

We are seeking an experienced strategic Treasury Manager to join our Finance team. In this role, you will be responsible for managing Notion's global treasury operations, cash management, forecasting ...

Showing results 41-60

Group Treasury Manager information

See salary details

$49.5K

$105.7K

$150.5K

How much do group treasury manager jobs pay per year?

As of Sep 13, 2026, the average yearly pay for group treasury manager in the United States is $105,672.00, according to ZipRecruiter salary data. Most workers in this role earn between $87,000.00 and $121,500.00 per year, depending on experience, location, and employer.

What is the difference between Group Treasury Manager vs Treasury Analyst?

AspectGroup Treasury ManagerTreasury Analyst
CredentialsTypically requires a bachelor's degree in finance, accounting, or related field; professional certifications like CFA or CPA are commonUsually holds a bachelor's degree; certifications like CFA can be advantageous but are less common
Work EnvironmentManages treasury functions across multiple business units or subsidiaries, often in a corporate settingSupports treasury operations through data analysis and reporting, often in a team within the treasury department
Employer & Industry UsageUsed in large corporations, multinational companies, and financial institutionsFound in companies of various sizes, often as entry or mid-level roles within treasury teams

The main difference is that a Group Treasury Manager oversees the entire treasury function across multiple units, focusing on strategy and risk management, while a Treasury Analyst supports these activities through analysis and reporting. The Manager role involves higher responsibility and strategic decision-making, whereas the Analyst role is more focused on data and operational support.

What cities are hiring for Group Treasury Manager jobs?

Cities with the most Group Treasury Manager job openings:

What are popular job titles related to Group Treasury Manager jobs?

For Group Treasury Manager jobs, the most frequently searched job titles are:

Infographic showing various Group Treasury Manager job openings in the United States as of August 2026, with employment types broken down into 88% Full Time, 11% Part Time, and 1% Contract. Highlights an 80% Physical, 2% Hybrid, and 18% Remote job distribution, with an average salary of $105,672 per year, or $50.8 per hour.

Finance & Treasury Manager

Pasadena, TX โ€ข On-site

Full-time

Re-posted 9 hours ago


Key responsibilities

  • Own and maintain the company's rolling 13-week cash flow forecast to ensure accurate liquidity visibility.

  • Manage treasury activities including liquidity management, banking operations, and lender reporting.

  • Lead budgeting, forecasting, and financial planning processes, including variance analysis and financial modeling.


Job description

JOB TITLE: FINANCE & TREASURY MANAGER

DEPARTMENT: FINANCE

REPORTS TO: CHIEF FINANCIAL OFFICER

DATE: 8/12/2026

POSITION OVERVIEW:

Guardian is seeking a highly analytical and results-oriented Finance & Treasury Manager to lead the organization's treasury and corporate finance activities. This role is responsible for cash flow forecasting, liquidity management, lender reporting, banking operations, budgeting and forecasting, financial analysis, and business intelligence initiatives. The ideal candidate will combine strong treasury expertise with advanced financial modeling and reporting capabilities to support executive decision-making and the company's strategic growth objectives.

This position will serve as a key business partner to senior leadership, providing financial insights, reporting automation solutions, and technology-enabled analytics to improve financial visibility and operational performance across the organization.

OUR PURPOSE & VALUES: 

Our purpose is to make height safety simple so our partners could focus on what’s important to them.

One Team. One Goal. We go further together – diverse in our talents, united in our goal of making safe simple.

Stand Tall. We step up to the toughest challenges and stand up for what’s right.

Dare to be Different. We’re open-minded and unafraid – prepared to go against the herd when we think there is a better way. 

ESSENTIAL DUTIES AND RESPONSIBILITIES:

Treasury Management & Liquidity Planning

  • Own and maintain the company's rolling 13-week cash flow forecast, ensuring accurate visibility into liquidity requirements and cash positioning.
  • Lead daily, weekly, and monthly liquidity management activities to optimize cash utilization and working capital.
  • Monitor cash balances, borrowing availability, and funding requirements across all banking relationships.
  • Develop and implement treasury best practices, controls, and processes to enhance cash management efficiency.

Asset-Based Lending (ABL) Administration

  • Prepare and submit ABL borrowing base certificates and supporting documentation.
  • Calculate and monitor lender covenant compliance and financial performance metrics.
  • Manage borrowing requests, draws, repayments, and paydowns in accordance with lending agreements.
  • Coordinate with internal stakeholders and external lenders regarding reporting requirements and financial performance.

Banking & Lender Relations

  • Manage relationships with banks, lenders, and financial institutions.
  • Oversee all treasury and banking operations, including account administration, wire transfers, cash concentration structures, and banking services.
  • Evaluate banking products and services to improve operational efficiency and optimize costs.
  • Ensure compliance with internal controls and company financial policies.

Budgeting, Forecasting & Financial Planning

  • Lead the annual budgeting process across the organization.
  • Coordinate quarterly forecasting cycles and provide variance analysis against budget and prior forecasts.
  • Partner with business leaders to develop financial assumptions, operating plans, and performance targets.
  • Identify risks and opportunities impacting financial performance and cash flow.

Financial Reporting & Executive Communications

  • Prepare monthly, quarterly, and annual financial reporting packages for executive leadership, lenders, and the Board of Directors.
  • Develop clear and concise management reports highlighting key business drivers, trends, risks, and opportunities.
  • Support strategic planning initiatives through financial modeling and scenario analysis.

Business Intelligence & Financial Analytics

  • Lead efforts to automate financial reporting and improve data accessibility across the organization.
  • Design, develop, and maintain Power BI dashboards and reporting solutions that deliver actionable business insights.
  • Support the development and enhancement of Microsoft Fabric-enabled financial reporting and analytics solutions.
  • Partner with business and IT teams to improve data governance, reporting accuracy, and analytical capabilities.

FP&A Systems & Process Improvement

  • Support the evaluation, selection, implementation, and optimization of potential FP&A software solutions.
  • Drive continuous improvement initiatives focused on reporting efficiency, forecasting accuracy, and financial planning processes.
  • Recommend technology solutions and process enhancements that increase scalability and support business growth.

ATTRIBUTES:

  • Excellent organizational and planning skills 
  • Strong attention to detail 
  • Ability to prioritize multiple tasks in a fast-paced manufacturing environment 
  • Strong analytical and problem-solving abilities 
  • Excellent communication and interpersonal skills 
  • Ability to make decisions under changing production conditions 
  • Self-motivated with a proactive mindset 
  • Team-oriented with a customer-focused approach 
  • Ability to work independently while coordinating across multiple departments  

MINIMUM REQUIREMENTS:

Education

  • Bachelor's degree in Finance, Accounting, Economics, or related field required.
  • MBA, CPA, CFA, CTP, or similar professional certification preferred.

Experience

  • 7+ years of progressive experience in corporate finance, treasury, FP&A, banking, or related financial management roles.
  • Experience managing cash forecasting, liquidity planning, and banking relationships.
  • Hands-on experience with asset-based lending facilities, borrowing base reporting, and covenant compliance.
  • Experience supporting executive leadership and board-level reporting.
  • Manufacturing, industrial, energy, chemical, or distribution industry experience preferred.

Technical Skills

  • Advanced financial modeling and forecasting capabilities.
  • Strong proficiency in Microsoft Excel and financial analysis tools.
  • Experience developing dashboards and reports in Power BI.
  • Familiarity with Microsoft Fabric, business intelligence architecture, and financial data modeling.
  • Experience with ERP systems and FP&A platforms.
  • Strong understanding of accounting principles, cash management, and financial reporting.

Competencies: 

  • Strategic Thinking
  • Financial Acumen
  • Analytical Problem Solving
  • Attention to Detail
  • Executive Presence
  • Communication and Presentation Skills
  • Process Improvement Mindset
  • Project Management
  • Relationship Management
  • Continuous Learning and Innovation