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Manager Of Treasury Operations Jobs in Missouri (NOW HIRING)

At MFA, team members are empowered to be strong customer partners and forward-thinking stewards of the land. Responsibilities: This person is responsible for treasury operations, liquidity management ...

At MFA, team members are empowered to be strong customer partners and forward-thinking stewards of the land. Responsibilities: This person is responsible for treasury operations, liquidity management ...

Strong understanding of treasury operations, capital markets, and corporate finance. * Expertise in liquidity management, working capital optimization, and forecasting. * Knowledge of banking ...

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Manager Of Treasury Operations information

What are the responsibilities of a manager of treasury operations?

A Manager of Treasury Operations is responsible for overseeing an organization's cash management, banking relationships, liquidity, and financial risk management. They ensure the efficient movement and safeguarding of funds, monitor cash flow, and implement treasury policies and controls. Additionally, they may supervise a team, manage banking services, and ensure compliance with internal and external regulations. Their work is vital for maintaining the financial stability and operational efficiency of the organization.

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

To excel as a Manager of Treasury Operations, you need a solid background in finance or accounting, strong analytical skills, and experience with cash management and liquidity planning, generally supported by a relevant degree and sometimes a CTP (Certified Treasury Professional) certification. Familiarity with treasury management systems (TMS), enterprise resource planning (ERP) software, and financial modeling tools is typically required. Outstanding attention to detail, problem-solving abilities, and effective communication are the soft skills that distinguish top performers in this role. These competencies ensure accurate financial oversight, risk mitigation, and efficient management of a company’s cash flow and financial obligations.

What are some common challenges faced by a manager of treasury operations, and how can they be addressed?

A Manager of Treasury Operations frequently deals with challenges such as managing cash flow across multiple accounts, ensuring compliance with internal controls and external regulations, and mitigating financial risks like fraud or currency fluctuations. Staying updated with the latest treasury management systems and fostering strong communication with both internal teams (like accounting and finance) and external partners (such as banks) can help tackle these issues. Proactive problem-solving and continuous process improvement are key to successfully navigating the complexities of this role.

What is the difference between Manager Of Treasury Operations vs Treasury Analyst?

AspectManager Of Treasury OperationsTreasury Analyst
Required CredentialsBachelor's degree in Finance or Accounting; often CPA or CFA preferredBachelor's degree in Finance, Accounting, or related field; certifications like CFA beneficial
Work EnvironmentLeadership role overseeing treasury teams, strategic planning, and cash managementAnalytical role focused on data analysis, reporting, and supporting treasury functions
Employer & Industry UsageUsed in corporate finance departments across industries, especially large firmsCommon in finance departments for supporting treasury operations in various industries

The Manager Of Treasury Operations typically holds a leadership position, managing treasury teams and strategic cash management, while the Treasury Analyst focuses on data analysis and supporting treasury functions. Both roles require finance-related credentials and are integral to corporate treasury departments, but differ in scope and responsibility.

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

The most popular types of Of Treasury Operations jobs in Missouri are:

What are popular job titles related to Manager Of Treasury Operations jobs in Missouri?

For Manager Of Treasury Operations jobs in Missouri, the most frequently searched job titles are:

What job categories do people searching Manager Of Treasury Operations jobs in Missouri look for?

The top searched job categories for Manager Of Treasury Operations jobs in Missouri are:

What cities in Missouri are hiring for Manager Of Treasury Operations jobs?

Cities in Missouri with the most Manager Of Treasury Operations job openings:

Treasury Accounting & Operations Manager

Saint Louis, MO

MGP Ingredients
Food Services and Drinking Places • 201 - 500 employees

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 18 days ago


Job description

MGP Ingredients is a leading supplier of premium distilled spirits and food ingredient solutions. Its Distilling Solutions segment provides bourbons, whiskeys, ryes, gins, and vodkas to craft and multinational brands. MGP's own Branded Spirts business is growing following the 2021 acquisition of Luxco, a top spirits producer, bottler, supplier, and importer as well as the 2023 acquisition of Penelope Bourbon, known for its wide range of uniquely blended expressions. Ingredient Solutions delivers nutritional, functional wheat- and pea-based ingredients aligned with consumer trends. The company operates in locations across the Midwestern U.S., and overseas in Northern Ireland and Mexico.

THE OPPORTUNITY:

The Treasury Accounting & Operations Manager is responsible for ownership of treasury-related balance sheet accounts during month-end close, in addition to supporting daily cash flow management and forecasting. The position is responsible for preparing accurate and timely balance sheet reconciliations, journal entries, and financial statements, as well as managing day-to-day treasury operations, including cash positioning, customer credit oversight, and banking administration.

WHAT YOU WILL BE DOING:

Cash Flow & Treasury Operations

  • Support the Director of Treasury in daily cash positioning and short-term cash forecasting
  • Manage daily cash operating needs for payments and funding of AP/AR functions
  • Collaborate with BU AR/AP specialists to optimize cash position across the business
  • Prepare monthly BU cash conversion cycle and customer aging reports
  • Assist with cash flow forecasting models and variance analysis to support liquidity planning

Customer Credit Management

  • Oversee customer credit application process, review and authorization for establishing payment terms.
  • Prepare and maintain bank account documentation, including signatory records
  • Serve as liaison with banks on transaction inquiries and issue resolution
  • Ensure ongoing compliance with banking requirements and internal policies

Month End Close & Balance Sheet/Statement of Cash Flow Preparation

  • Own preparation and review of treasury-related balance sheet accounts, ensuring accuracy and timely close each month
  • Prepare and post monthly treasury journal entries, including accruals and reclasses
  • Reconcile treasury balance sheet accounts and resolve variances in coordination with accounting
  • Prepare monthly balance sheet and cash flow statements
  • Partner with accounting/controllership to ensure treasury bookings align with close calendar and reporting deadlines

Internal Controls & Policy Adherence

  • Lead treasury SOX/internal control process & documentation
  • Support internal and external audit requests related to treasury and cash
  • Review contracts, vendor applications, and customer set-ups to validate terms are in-line with company policy

Banking Operations

  • Prepare and update bank account documentation, including, but not limited to, signatory records.
  • Ensure compliance with banking requirements and serve as liaison with banks for transaction inquiries and issue resolution.

WHO WE ARE LOOKING FOR:

  • Bachelor of Science Degree in Accounting or Finance.
  • CPA required
  • 1-3 years of accounting experience in public accounting or audit
  • Experience in financial statement preparation and internal controls
  • Demonstrated experience in month-end close, balance sheet reconciliations, and internal controls
  • Working knowledge of cash management and banking operations
  • Strong Excel skills, including financial modeling
  • Excellent analytical, problem-solving, and communication skills (written and verbal)
  • Ability to manage competing deadlines in a fast-paced environment
  • High attention to detail and accuracy
  • MS Office Suite software products
  • SAP / EPICORE

If you require a reasonable accommodation in the employee selection process, please direct your inquiries to Caitlin Zbikowski, Talent Manager @ c.zbikowski@mgpi.com.

If the above speaks to you, we’re excited to learn more about you! At MGP, we know that our people are our greatest strength. With different perspectives and unique ways of thinking, our employees are as varied as our products. We believe that inclusivity strengthens the organization and champions a company culture that is evolving to reflect all of us. Culture results from our behaviors, our personal commitment, our curiosity, how we collaborate, and the ways we courageously share our perspectives and expect others to do the same. Each of us can make a difference by fostering thinking and actions that empower us to connect, belong and grow together.

Compensation is competitive and is commensurate with experience. MGP offers exceptional medical, dental, vision, short and long-term disability, life insurance, 401(k) Match and PTO.

All successful candidates for this position will be required to submit to a criminal background check and drug test.