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Treasurer Manager Jobs in Wisconsin (NOW HIRING)

WI · On-site

$120 - $190/hr

Manage the company's debt portfolio, including scheduling repayments, managing interest rate risks, and optimizing debt structure. * Prepare and present treasury reports to senior management and PE ...

Responsibilities Treasury Leadership & Liquidity Management * Lead all aspects of the Company's global treasury function, including liquidity management, cash forecasting, investments, debt ...

Treasurer

Milwaukee, WI · On-site

$150 - $210/hr

Responsibilities Treasury Leadership & Liquidity Management * Lead all aspects of the Company's global treasury function, including liquidity management, cash forecasting, investments, debt ...

Responsibilities Treasury Leadership & Liquidity Management * Lead all aspects of the Company's global treasury function, including liquidity management, cash forecasting, investments, debt ...

Responsibilities Treasury Leadership & Liquidity Management * Lead all aspects of the Company's global treasury function, including liquidity management, cash forecasting, investments, debt ...

WI · On-site

$70 - $100/hr

Overview A state treasurer manages the money of one of 49 of the 50 United States. In Texas, the position that controls the state's finances is called Comptroller of Public Accounts. The office of ...

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Treasurer Manager information

What is the difference between Treasurer Manager vs Financial Analyst?

AspectTreasurer ManagerFinancial Analyst
CredentialsCPA, CFA, or related certifications often preferredFinance, accounting degrees, or CFA often required
Work EnvironmentCorporate finance departments, banks, or investment firmsFinancial services, corporate finance, or consulting firms
Employer & Industry UsageUsed in large corporations, financial institutions, and government agenciesCommon 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.

How much do treasurer managers make in the US?

Treasurer managers in the US typically earn a median annual salary of around $100,000 to $130,000, depending on experience, industry, and location. They often require strong financial skills, certifications such as CPA or CFA, and experience in financial management or treasury operations.

What does a Treasurer Manager do?

A Treasurer Manager oversees an organization’s financial activities, including cash management, investment strategies, and financial risk assessment. They develop budgets, ensure compliance with financial regulations, and use financial software to monitor and report on the company's financial health. Strong leadership, analytical skills, and relevant certifications like CPA or CFA are often required.

What are the most commonly searched types of Treasurer jobs in Wisconsin?

The most popular types of Treasurer jobs in Wisconsin are:

What cities in Wisconsin are hiring for Treasurer Manager jobs?

Cities in Wisconsin with the most Treasurer Manager job openings:

$120 - $190/hr

Other

Posted 14 days ago


Airtron rating

5.3

Company rating: 5.3 out of 10

Based on 16 frontline employees who took The Breakroom Quiz


Job description

Job Summary

The Treasurer is responsible for developing and executing the organization’s treasury strategy, including forecasting, cash management, liquidity, investments, financial risk management, and developing strong relationships with banking and capital markets partners. This leader will own all activities related to consolidating treasury functions for acquired entities and ensuring the appropriate infrastructure is in place to support future growth. This position reports to the Chief Financial Officer, will have significant exposure to PE sponsors, and will work closely with the finance and accounting teams to support strategic decision-making related to financial planning and capital structure.

Job Responsibilities
  • Cash and Liquidity Management Monitor daily cash flow, liquidity requirements, and opportunities for investment to ensure sufficient funds are available to meet operational and financial obligations, while optimizing interest income, interest expense, and bank fees.
  • Manage 13-week cash forecasting models to predict short-term and long-term cash needs, adjusting for variances in business activities.
  • Manage the company’s debt portfolio, including scheduling repayments, managing interest rate risks, and optimizing debt structure.
  • Prepare and present treasury reports to senior management and PE sponsors, highlighting key metrics related to cash flow, liquidity, and financial risk.
  • Provide analysis of key financial trends and recommend strategies to improve cash management and optimize working capital.
  • Financial Risk Management Identify, assess, and mitigate financial risks related to liquidity, interest rates, and credit exposure.
  • Oversee trade finance including surety bonds, bank guarantees, and letters of credit.
  • Develop and implement strategies to hedge against risks (e.g., through derivatives or other financial instruments) where appropriate.
  • Bank and Capital Markets Relationship Management Manage relationships with banks and other financial institutions to ensure efficient execution of treasury operations, including cash management, financing, investments, and payment processing including credit cards, real time payments, and e-checks.
  • Negotiate banking and merchant services agreements, fees, and credit facilities to ensure the company receives the most favorable terms.
  • Oversee and maintain a strong relationship with the company’s credit providers, including monitoring compliance with covenants and reporting requirements.
  • Evaluate refinancing and financing opportunities, working closely with senior leadership to recommend strategies for debt issuance or repayment.
  • Leadership and Collaboration Oversee the development and maintenance of treasury policies and procedures to ensure compliance with regulatory requirements and industry best practices.
  • Develop and implement internal controls to safeguard cash and ensure that all treasury operations are executed efficiently and securely.
  • Develop and implement the company’s investment strategy for surplus cash, balancing liquidity, risk, and returns.
  • Drive a culture of continuous improvement within the treasury function by identifying opportunities to improve processes and leverage technology.
  • Lead and advocate for the treasury team in the evolving ERP/TMS environment to determine best practices and infrastructure support needed to support future operations.
  • Lead and develop a high-performing treasury team, providing guidance and mentoring to enhance the team’s capabilities.
  • Ensure ongoing training and development for treasury staff to stay updated on best practices, regulations, and market conditions.
  • Collaborate with the accounting team to ensure proper cash, investment, and debt reporting.
  • Collaborate with legal, tax, accounting and FP&A in preparing intercompany notes to support cash pooling initiatives while minimizing tax implications.
  • Support financial planning and analysis (FP&A) in preparing cash flow forecasts and long-term financial plans.
Working Conditions
  • Hybrid position
  • Occasional work outside normal business hours as needed
  • Occasional travel as needed
Minimum Requirements
  • Bachelor’s degree in finance, accounting, or related field
  • 7-10 years of experience in treasury, cash management, or corporate finance
  • Experience in managing treasury functions for a multinational or large organization is a plus.
  • Strong knowledge of cash forecasting, banking relationships, and investment strategies.
  • Familiarity with treasury management systems (TMS) and financial software (e.g., Microsoft Dynamics, Sage, Kyriba).
  • Must be able to communicate in English effectively, both verbally and in writing
  • Valid driver\'s license required
Preferred Qualifications
  • MBA
  • CFA (Chartered Financial Analyst) or CTP (Certified Treasury Professional)
  • Industry experience in consumer services, construction
Additional Knowledge, Skills and Abilities
  • In-depth understanding of financial markets, investment products, and financial risk management.
  • Strong analytical and problem-solving skills with a high degree of attention to detail.
  • Excellent communication and interpersonal skills, with the ability to interact effectively with internal and external stakeholders.
  • Proven ability to manage multiple tasks in a fast-paced environment, with strong project management and organizational skills.
  • Advanced proficiency in Excel, financial modeling, and cash flow forecasting.
  • High level of integrity, ethics, and professionalism in managing financial resources.
  • Strategic thinker with strong decision-making capabilities.
  • Ability to work collaboratively across functions and departments.
  • A proactive approach to identifying opportunities for process improvement and risk mitigation.
  • Positive attitude and desire to be a team player
  • Flexibility to work outside of normal business hours as needed
  • Ability to work independently and collaborate as key contributor
  • Safety mindset and acceptance of a safety culture

Airtron is an equal opportunity employer committed to diversity and inclusion. All qualified applicants will receive consideration for employment without regard to race, color, sex, pregnancy, sexual orientation, age, religion, creed, national origin, gender identity, disability, military/veteran status, genetic information or any other categories protected by applicable law.

The job description is not intended to be a complete list of all responsibilities, duties or skills required for the job and is subject to review and change at any time, with or without notice, in accordance with the needs of Airtron.

Welcome to Airtron Careers! Airtron is looking for new team members to join us! We are more than just a heating and air conditioning installer and service provider, we are a family of hard-working, dedicated, and happy technicians, residential installers, warehouse workers, dispatchers, customer service representatives, project managers, estimators, controllers, executives, and more. Being an Airtron team member is rewarding and exciting, and every day we get to see our customers smile. We have earned our reputation for excellence. We are proud to work at Airtron, whether it’s in Ohio, Texas, Indiana, Maryland, North Carolina, or Tennessee.

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