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Remote Treasury Manager Jobs in Ohio (NOW HIRING)

Treasury Management Officer GenoaBank, founded in 1902, is a locally-owned, independent community ... Coordinates product setup and client training for services such as ACH/wires, remote deposit ...

The Treasury Management - Integrated Receivables Implementation & Support Manager is responsible ... Remote Deposit Capture (RDC), and Merchant Services. Serving as the primary point of contact for ...

The Treasury Management - Integrated Receivables Implementation & Support Manager is responsible ... Remote Deposit Capture (RDC), and Merchant Services. Serving as the primary point of contact for ...

Co-Plan and co-develop strategic initiatives with Manager * Train departmental personnel on new ... Knowledge of Remote Deposit Capture, ACH, Account Reconciliation, Positive Pay, VISA, Lockbox, and ...

The Treasury Management Service Specialist I provides onboarding, maintenance, and daytoday service ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

This role offers direct exposure to Portfolio Management, Mortgage Servicing Rights (MSR), Repo ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

The Area Service Manager is responsible for the management of onboardingof Commercial and Treasury ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

Area Service Manager

Columbus, OH · On-site +1

$77K - $154K/yr

Bachelor's degree * 5+ years of Treasury Management experience * 3+ years Treasury Management ... Remote roles will also have the opportunity to come together in our offices for moments that matter.

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Remote Treasury Manager information

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

AspectRemote Treasury ManagerRemote Treasury Analyst
Required CredentialsBachelor's degree in Finance or Accounting; often CPA or CFA preferredBachelor's degree in Finance, Accounting, or related field; certifications less common
Work EnvironmentOversees treasury operations, manages teams, strategic planningSupports treasury functions, analyzes data, assists in cash management
Employer & Industry UsageFinancial institutions, corporations, large enterprisesCorporations, financial services, consulting firms
Search & Comparison IntentLooking for senior-level treasury roles with leadership responsibilitiesSeeking entry to mid-level treasury roles focused on analysis

The Remote Treasury Manager typically holds a leadership role, overseeing treasury operations and strategy, requiring advanced credentials. In contrast, the Remote Treasury Analyst focuses on supporting treasury functions through data analysis, often with fewer certifications. Both roles are common in large corporations and financial institutions, but they differ in responsibilities and seniority level.

What are the key skills and qualifications needed to thrive as a Remote Treasury Manager, and why are they important?

A Remote Treasury Manager needs expertise in cash management, financial analysis, and risk assessment, typically supported by a degree in finance or accounting and relevant experience. Familiarity with treasury management systems (TMS), ERP platforms, and often certifications such as CTP (Certified Treasury Professional) are important for the technical side of the role. Strong communication, problem-solving abilities, and self-motivation are essential soft skills for effective remote collaboration and decision-making. These skills are crucial to ensure accurate financial oversight, mitigate risks, and maintain smooth cash flow operations from a remote environment.

How does a Remote Treasury Manager effectively collaborate with global finance teams?

A Remote Treasury Manager typically works closely with colleagues across multiple time zones, leveraging digital communication tools such as video conferencing, shared financial platforms, and real-time chat applications. Successful collaboration involves setting clear expectations, maintaining proactive communication, and staying aligned on deadlines for cash management, liquidity planning, and risk mitigation activities. Regular virtual meetings and transparent reporting help ensure that all team members are informed and coordinated, despite the physical distance. This structure fosters strong working relationships and ensures treasury objectives are met efficiently.

What is a Remote Treasury Manager?

A Remote Treasury Manager is a financial professional who oversees an organization's treasury functions, such as cash management, liquidity planning, risk management, and banking relationships, while working from a remote location. They ensure that the company has enough cash flow to meet its obligations, optimize financial processes, and minimize financial risks. The role typically involves using digital tools and communication platforms to collaborate with colleagues and financial institutions. Remote Treasury Managers play a key role in maintaining the financial health and efficiency of an organization.
What are popular job titles related to Remote Treasury Manager jobs in Ohio? For Remote Treasury Manager jobs in Ohio, the most frequently searched job titles are:
What job categories do people searching Remote Treasury Manager jobs in Ohio look for? The top searched job categories for Remote Treasury Manager jobs in Ohio are:
What cities in Ohio are hiring for Remote Treasury Manager jobs? Cities in Ohio with the most Remote Treasury Manager job openings:
Infographic showing various Remote Treasury Manager job openings in Ohio as of July 2026, with employment types broken down into 82% Full Time, and 18% Part Time. Highlights an 100% Remote job distribution.
Treasury Management Officer

Treasury Management Officer

GenoaBank

Genoa, OH • Remote

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 12 days ago


Job description

Treasury Management Officer
GenoaBank, founded in 1902, is a locally-owned, independent community bank that provides a broad range of banking services to both business and private customers in counties of Lucas, Ottawa, Sandusky, Wood, Fulton, Erie and the Michigan County of Monroe. Since the time GenoaBank first opened its doors, it has continued to expand and now operates branches in Elmore, Fremont, Maumee, Millbury, Oregon, Perrysburg/Rossford, Port Clinton/Catawba, Sylvania, and Downtown Toledo, Ohio.

GenoaBank has always been driven to serve each community’s financial needs and continues to provide the same friendly, personal service it has since day one.

Taking your banking needs personally is our priority. Your financial needs will be met with exceptional service, quick decisions, innovative products and great rates that only local ownership can deliver. GenoaBank offers experience and service that has kept customers coming back for over 120 years! GenoaBank. Taking your banking needs personally.
Position Summary:
The Treasury Management Officer is responsible for growing and retaining Treasury Management relationships by sourcing and delivering consultative cash-management solutions to business clients. The role partners closely with Commercial Loan Officers to identify needs, propose solutions, manage onboarding, and drive deposit and fee-income growth while maintaining strong risk and compliance discipline. Provides customer service to clients/prospects to ensure a thorough and timely service delivery process. Ensures compliance regulations are being followed in all activities.
Essential Duties amp; Responsibilities:
Business Development:
  • Creates and executes a business development plan to add new treasury management clients.
  • Prospects for new treasury management opportunities and builds and maintains a pipeline for treasury management customers.
  • Partners in joint calling with Commercial Loan Officers to obtain new operating accounts and treasury services.
  • Prepares and presents proposals, product demonstrations, and financial benefits of treasury management services.
  • Conducts periodic account reviews to expand product adoption, improve retention, and deepen relationships.
  • Monitors usage, performance, and exception trends and takes action to improve client experience and portfolio profitability.
Customer Service:
  • Responsible for servicing and maintaining existing treasury management client base, while expanding treasury management services with new and existing commercial client relationships.
  • Oversees treasury management installation and implementation within the bank.
  • Coordinates product setup and client training for services such as ACH/wires, remote deposit capture, positive pay, and online banking while ensuring a smooth go-live process.
  • Serves as a subject-matter resource for clients and internal teams.
  • Collaborates with Operations and vendor partners to resolve problems or issues within expected timeframes.
  • Promotes secure client practices and fraud-prevention controls.

Treasury Management Marketing:
  • Drafts and develops marketing strategies for treasury management, as well as product marketing plans.
  • Reviews current treasury management products for future adjustments, improvements, expansions or elimination, depending on market strengths and weaknesses.
  • Maintains current knowledge of treasury products, payments, and industry trends.
  • Provides feedback to product partners on competitive insights and client needs.
Other Functions:
  • Supports appropriate client due diligence, documentation, and ongoing reviews (e.g. agreements, etc. where applicable).
  • Maintains accurate call reports, implementation status, and other required tracking.
  • Supports internal training and communication for treasury management services.
  • Maintains compliance and required compliance training with all banking laws, acts, regulations and bank policies and procedures.
  • Any other duties, projects and/or supervisory responsibilities as assigned by Management.
REQUIREMENTS amp; QUALIFICATIONS:
  • Education: Bachelor’s degree in business, finance, accounting or related field preferred.
  • Experience: 3-5 years of experience in treasury management/cash management, business banking, commercial lending or related financial services role; working knowledge of core treasury services (ACH, wires, online banking, remote deposit capture, positive pay, etc.).
  • Specific Skills: Computer skills including digital banking platforms and data/reporting; proficiency in Microsoft Office, especially Excel; effective written and verbal communication skills including ability to present to client stakeholders; strong consultative business development and relationship management skills, including discovery, presentation, and negotiation; above average problem solving and attention to detail; demonstrated ability to manage multiple priorities, implementations, and deadlines; understanding of risk and compliance expectations for treasury management services (documentation, controls, etc.).
  • Specialized Knowledge, Licenses, etc.: None.
  • Supervisory Responsibility, if any: None.
  • Working Conditions (shift times, location, etc.): Monday through Friday, 8:00 AM -5:00 PM; hours may be flexible depending on appointments; some evenings and weekends may be required; local travel required.
GenoaBank offers excellent benefits. We pay 100% of the premiums for the employees medical, dental, vision, long-term and short-term disability and life insurance. In addition, we offer a 401(k) and match 50% up to 8% with an additional 4% profit sharing and generous paid time off.
EOE/AA