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Regional Treasury Manager Jobs in Burr Ridge, IL

Treasury Analyst

Burr Ridge, IL · On-site

$50K - $62K/yr

... regional establishments across ten states. Offering turnkey full-service gaming solutions ... Summary Reporting to the Senior Treasury Manager, the primary responsibility of this position ...

Salary: $120,000 Key Responsibilities 1. Treasury Management * Oversee US & Canada's financial resources; maintain robust cash flow controls in conjunction with the Regional Treasury. * Lead efforts ...

... across multiple regions, including the U.S., Canada, Australia, and New Zealand. This role is ... Manage ACH rejects and U.S. returned checks, ensuring timely communication to business units.

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Regional Treasury Manager information

See Burr Ridge, IL salary details

$48.8K

$104.3K

$148.5K

How much do regional treasury manager jobs pay per year?

As of Aug 26, 2026, the average yearly pay for regional treasury manager in Burr Ridge, IL is $104,268.00, according to ZipRecruiter salary data. Most workers in this role earn between $85,800.00 and $119,900.00 per year, depending on experience, location, and employer.

What is a regional treasury manager?

Regional Treasury Managers are finance professionals responsible for overseeing an organization's treasury operations within a specific geographical region. Their duties typically include managing cash flow, banking relationships, risk management, and ensuring compliance with local financial regulations. They play a key role in optimizing liquidity, supporting business growth, and implementing global treasury strategies at the regional level. Regional Treasury Managers often collaborate with internal teams and external partners to ensure efficient and secure financial operations.

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

To thrive as a Regional Treasury Manager, you need strong analytical skills, deep knowledge of cash management, and a degree in finance or accounting, often supported by a relevant certification such as CTP or CFA. Proficiency with treasury management systems, ERP platforms like SAP, and financial modeling tools is typically required. Exceptional communication, leadership, and problem-solving abilities are crucial for managing teams and collaborating across regions. These skills ensure effective liquidity management, risk mitigation, and alignment with organizational financial goals on a regional scale.

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

Regional Treasury Managers often encounter challenges such as managing cash flows across multiple countries, navigating different regulatory environments, and mitigating currency risk. These complexities require proactive communication with local finance teams, staying updated on regional compliance requirements, and using treasury management systems to centralize operations. Building strong relationships with banking partners and regularly reviewing risk management strategies can also help address these challenges effectively.

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

AspectRegional Treasury ManagerTreasury Analyst
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 EnvironmentOversees treasury operations across multiple regions, managing teams and strategiesSupports treasury functions through data analysis, reporting, and transaction processing
Employer & Industry UsageCommon in large corporations, financial institutions, multinational companiesFound in similar settings, often as entry or mid-level roles supporting treasury activities

The Regional Treasury Manager focuses on managing treasury operations across multiple regions, overseeing teams, and strategic planning. In contrast, the Treasury Analyst primarily supports treasury functions through data analysis and transaction processing. Both roles require finance-related credentials and are integral to corporate treasury departments, but they differ in scope and responsibility.

What are popular job titles related to Regional Treasury Manager jobs in Burr Ridge, IL?

For Regional Treasury Manager jobs in Burr Ridge, IL, the most frequently searched job titles are:

What job categories do people searching Regional Treasury Manager jobs in Burr Ridge, IL look for?

The top searched job categories for Regional Treasury Manager jobs in Burr Ridge, IL are:

What cities near Burr Ridge, IL are hiring for Regional Treasury Manager jobs?

Cities near Burr Ridge, IL with the most Regional Treasury Manager job openings:

Treasury Analyst

Burr Ridge, IL • On-site

$50K - $62K/yr

Full-time

Medical, Dental, Vision, Retirement, PTO

Re-posted 18 days ago


Job description

Job Title: Treasury Analyst
Location: Burr Ridge, IL
Employment Type: Full-Time/Permanent
 
About Us
We are a leading distributed gaming operator in the United States, as well as a developer of brick-and-mortar casinos that serve local gaming markets and horse racing venues. We are dedicated to delivering unmatched value to its customers through its innovative solutions and exceptional service and is a preferred partner for local business owners in the markets it serves. We are the largest terminal operator in the country, supporting more than 27,000 gaming terminals in 4,300 local and regional establishments across ten states. Offering turnkey full-service gaming solutions, manufactures, installs, and operates gaming terminals and related equipment, including slot machines, redemption terminals, video game machines, gaming software, and amusements to authorized non-casino locations including bars, restaurants, convenience stores, truck stops, fraternal and veteran establishments as well as casinos and horse racing venues.
 
Job Description:
 
Summary
Reporting to the Senior Treasury Manager, the primary responsibility of this position includes but is not limited to facilitating daily cash management, banking, financial reporting, cash reconciliation and accounting activities.
 
Position Basics
  • Work from home 1 day a week
  • Competitive benefits - health insurance inc. vision and dental; 401(k) w/ match; PTO + paid holidays; and additional total rewards
 
Responsibilities
  • Oversee day-to-day banking activities, including reviewing/validating payment files
  • Update, manage, and analyze the company’s cash forecast
  • Monitoring bank transactions and upload/enter JEs to ERP
  • Oversee ATM commission and reporting
  • Facilitate issuance and reporting ATM debit card
  • Compile and analyze financial information to reconcile cash
  • Develop, monitor and analyze bank fees including credit card and cash management expenses
  • Ensure treasury reporting deadlines are met
  • Prepare treasury management reports as needed
  • Support accounting, accounts payable, ATM, financial planning, internal and external audit and other functions as they relate to treasury transactions and entity structures
  • Ad-hoc projects as assigned
 
Qualifications
  • 2+ years of experience in a Finance related field, Treasury preferred
  • Proficient in Microsoft Excel, Power BI and Banking portals
  • Experience with financial management systems, such as NetSuite and Salesforce (preferred)
  • Gaming experience preferred
  • Strong time management and organizational skills; able to manage priorities and workflow