The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
Treasurer
Fort Mill, SC · On-site
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
Treasurer
Fort Mill, SC · On-site
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
Treasurer
Charlotte, NC · On-site
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
Treasurer
Charlotte, NC · On-site
The Treasurer is responsible for managing the company's liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the ...
Treasurer
Centreville, VA · On-site
$135K - $150K/yr
The ideal candidate brings deep experience in cash management, bank structure optimization, and treasury operations within a growing organization, with less focus on investment strategy and more on ...
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Treasurer
Centreville, VA · On-site
$135K - $150K/yr
The ideal candidate brings deep experience in cash management, bank structure optimization, and treasury operations within a growing organization, with less focus on investment strategy and more on ...
Treasurer At Visionary Homes, our mission is simple: to edify everyone within our circle of ... Managing liquidity and cash flow across multiple entities * Leading short-term and long-term cash ...
Treasurer At Visionary Homes, our mission is simple: to edify everyone within our circle of ... Managing liquidity and cash flow across multiple entities * Leading short-term and long-term cash ...
Treasurer
North Logan, UT · On-site
Treasurer At Visionary Homes, our mission is simple: to edify everyone within our circle of ... Managing liquidity and cash flow across multiple entities * Leading short-term and long-term cash ...
Treasurer
North Logan, UT · On-site
Treasurer At Visionary Homes, our mission is simple: to edify everyone within our circle of ... Managing liquidity and cash flow across multiple entities * Leading short-term and long-term cash ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Provides support to the Treasurer/Assistant Treasurer/Mgr. Treasury Operations by leading treasury operations compliance and Sarbanes-Oxley (SOX) activities; administering the day-to-day activities ...
Monitor and manage operating cash balances, intercompany funding, and cash concentration structures. * Ensure adequate liquidity for operating needs, debt service, capital expenditures, and strategic ...
Monitor and manage operating cash balances, intercompany funding, and cash concentration structures. * Ensure adequate liquidity for operating needs, debt service, capital expenditures, and strategic ...
Corporate Treasurer
Houston, TX · On-site
Manage banking relationships, including lines of credit, treasury services, and borrowing base reporting. * Support capital structure planning, including debt utilization, intercompany funding, and ...
Corporate Treasurer
Houston, TX · On-site
Manage banking relationships, including lines of credit, treasury services, and borrowing base reporting. * Support capital structure planning, including debt utilization, intercompany funding, and ...
Monitor and manage operating cash balances, intercompany funding, and cash concentration structures. * Ensure adequate liquidity for operating needs, debt service, capital expenditures, and strategic ...
Monitor and manage operating cash balances, intercompany funding, and cash concentration structures. * Ensure adequate liquidity for operating needs, debt service, capital expenditures, and strategic ...
Support daily liquidity management activities including cash positioning, funding decisions, and ... Drive treasury transformation initiatives, including automation of manual processes using AI ...
Support daily liquidity management activities including cash positioning, funding decisions, and ... Drive treasury transformation initiatives, including automation of manual processes using AI ...
Treasurer
Painesville, OH · On-site
Managing and reporting State and Federal grants and loans. * Collective bargaining with a Union ... Crestwood-Treasurer .pdf
Treasurer
Painesville, OH · On-site
Managing and reporting State and Federal grants and loans. * Collective bargaining with a Union ... Crestwood-Treasurer .pdf
Cash & Liquidity Management * Oversee daily cash management, forecasting, and liquidity planning ... Implement treasury systems and reporting tools to provide transparency into cash and liquidity.
Cash & Liquidity Management * Oversee daily cash management, forecasting, and liquidity planning ... Implement treasury systems and reporting tools to provide transparency into cash and liquidity.
Monday through Friday 10:00 AM to 2:30 PM Staff: (3) Manager/Treasurer, Head Clerk/Loan Official, Computer Technician/Office Clerk Responsibilities of Manager/Treasurer: Direct, promote and ...
Monday through Friday 10:00 AM to 2:30 PM Staff: (3) Manager/Treasurer, Head Clerk/Loan Official, Computer Technician/Office Clerk Responsibilities of Manager/Treasurer: Direct, promote and ...
Cash & Liquidity Management * Oversee daily cash management, forecasting, and liquidity planning ... Implement treasury systems and reporting tools to provide transparency into cash and liquidity.
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Cash & Liquidity Management * Oversee daily cash management, forecasting, and liquidity planning ... Implement treasury systems and reporting tools to provide transparency into cash and liquidity.
MANAGER/TREASURER
Chicago, IL · On-site
Monday through Friday 10:00 AM to 2:30 PM Staff: (3) Manager/Treasurer, Head Clerk/Loan Official, Computer Technician/Office Clerk Responsibilities of Manager/Treasurer: Direct, promote and ...
Quick apply
MANAGER/TREASURER
Chicago, IL · On-site
Monday through Friday 10:00 AM to 2:30 PM Staff: (3) Manager/Treasurer, Head Clerk/Loan Official, Computer Technician/Office Clerk Responsibilities of Manager/Treasurer: Direct, promote and ...
Treasurer Manager information
See salary details
$29K - $42.4K
24% of jobs
$43.3K is the 25th percentile. Wages below this are outliers.
$42.4K - $55.8K
12% of jobs
The median wage is $67.1K / yr.
$55.8K - $69.2K
17% of jobs
$69.2K - $82.6K
13% of jobs
$82.6K - $96K
8% of jobs
$100.2K is the 75th percentile. Wages above this are outliers.
$96K - $109.5K
4% of jobs
$109.5K - $122.9K
4% of jobs
$122.9K - $136.3K
3% of jobs
$136.3K - $149.7K
2% of jobs
$149.7K - $163.1K
5% of jobs
$163.1K - $176.5K
7% of jobs
$29K
$87K
$176.5K
How much do treasurer manager jobs pay per year?
What is the difference between Treasurer Manager vs Financial Analyst?
| Aspect | Treasurer Manager | Financial Analyst |
|---|---|---|
| Credentials | CPA, CFA, or related certifications often preferred | Finance, accounting degrees, or CFA often required |
| Work Environment | Corporate finance departments, banks, or investment firms | Financial services, corporate finance, or consulting firms |
| Employer & Industry Usage | Used in large corporations, financial institutions, and government agencies | Common across industries for financial planning and analysis |
The Treasurer Manager focuses on managing an organization’s treasury functions, including cash flow, investments, and risk management, often requiring certifications like CPA or CFA. In contrast, a Financial Analyst primarily conducts financial data analysis, forecasting, and reporting to support decision-making. While both roles require strong financial knowledge, the Treasurer Manager has a broader scope related to liquidity and risk, whereas the Financial Analyst emphasizes data analysis and financial modeling.
Other
Medical, Dental, Vision, Retirement
Posted 7 days ago
Job description
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We are a leading manufacturer seeking a talented Treasurer. The Treasurer is responsible for managing the company’s liquidity, banking relationships, debt obligations, financial risk management, and enterprise credit and collections. This role ensures the company maintains sufficient liquidity to support operations and growth while minimizing financial risk and maintaining full compliance with lender agreements.
The Treasurer partners closely with the CFO, operating entity finance leaders, banks, lenders, and insurance providers to support the company’s financial stability and capital structure.
This role is responsible for establishing and enforcing treasury policies, optimizing working capital, and implementing treasury systems and controls that support a multi-entity operating structure.
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What You’ll Do
Liquidity Management & Cash Forecasting
- Oversee enterprise liquidity across all operating entities, including daily cash positioning, bank balances, and intercompany cash movement.
- Maintain short- and long-term cash forecasts, including a rolling 13-week liquidity forecast.
- Optimize working capital drivers that impact cash flow.
Banking & Lender Relationships
- Serve as the primary relationship manager for the company’s banking and lending partners.
- Negotiate banking services, credit facilities, and related fees.
- Evaluate and maintain an efficient banking structure across all entities.
Debt Management & Covenant Compliance
- Manage corporate debt facilities and borrowing arrangements.
- Ensure compliance with financial covenants and lender reporting requirements.
- Prepare covenant calculations, borrowing base reports, and compliance certificates.
Treasury Governance & Systems
- Establish and enforce treasury policies, procedures, and internal controls.
- Oversee payment processes, banking authorizations, and fraud prevention controls.
- Lead implementation and administration of treasury management systems.
- Standardize treasury processes and reporting across operating entities.
Financial Risk Management
- Identify and manage financial risks, including interest rate exposure, foreign exchange exposure, and counterparty credit risk.
- Monitor financial markets and recommend risk mitigation strategies where appropriate.
Credit, Collections & Insurance
- Oversee enterprise customer credit policies, credit approvals, and collections processes.
- Monitor customer credit exposure and aging trends to protect cash flow.
- Manage the company’s corporate insurance programs, including property & casualty, workers’ compensation, directors & officers’ liability, employment practices liability, cyber coverage, and related policies.
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What You’ll Need to Excel in This Role
Education:
- Bachelor's degree in finance, accounting, or a related field (master’s degree or MBA preferred).
- Certified Treasury Professional (CTP) designation or other relevant certifications.
Experience:
- 10+ years of treasury, finance, or related experience, including demonstrated success in corporate treasury operations
- Proven experience as a Treasurer or in a similar treasury role within a large-scale organization.
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Additional Knowledge, Skills, and Abilities:
- Strong knowledge of financial markets, investment instruments, and risk management techniques.
- Solid understanding of accounting principles, financial reporting, and regulatory requirements.
- Proficiency in using treasury management systems and financial software.
- Excellent analytical and problem-solving skills.
- Strong communication and interpersonal skills to collaborate with internal and external stakeholders.
- Ability to work effectively in a fast-paced, dynamic environment.
- Exceptional attention to detail and accuracy.
Total Rewards Offering:
We offer a competitive compensation package, including bonus potential tied to company performance, and a dynamic work environment that encourages creativity, innovation, and professional growth. A comprehensive benefits package including Medical, Dental, and Vision, 401k with employer match, employer-paid disability, and more... Â
This role is based in Fort Mill, SC