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Treasury Cash Manager Jobs in Delaware (NOW HIRING)

$120 - $160/hr

... Treasury function in managing the bank's liquidity, funding, capital, and interest rate risk activities. This role assists in ensuring compliance with regulatory requirements, optimizing cash and ...

Mortgage Wire Desk, II Analyst

Dover, DE ยท On-site

$24 - $33.65/hr

Also participate in treasury/cash management initiatives and projects, such as bank account management, banking service enhancements, system reconciliations, and system administration. Perform all ...

CM Sales Officer III

Wilmington, DE ยท On-site

$115K - $173K/yr

Ensures customers and internal partners are leveraging the proper cash management functions: Treasury Management Solutions, Service and Implementation and partner appropriately with Sales Associates

CM Sales Officer III

Wilmington, DE ยท On-site

$115K - $173K/yr

Ensures customers and internal partners are leveraging the proper cash management functions: Treasury Management Solutions, Service and Implementation and partner appropriately with Sales Associates

CM Sales Officer III

Wilmington, DE ยท On-site

$115 - $173/hr

Ensures customers and internal partners are leveraging the proper cash management functions: Treasury Management Solutions, Service and Implementation and partner appropriately with Sales Associates

Patient Financial Services Manager

Dover, DE ยท On-site

$82K - $128K/yr

Oversee patient collections, financial counseling, cash reconciliation, refunds, and treasury management activities. * Monitor operational metrics, implement process improvements, and ensure ...

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Showing results 1-20

Treasury Cash Manager information

See Delaware salary details

$49.5K

$105.8K

$150.6K

How much do treasury cash manager jobs pay per year?

As of Aug 24, 2026, the average yearly pay for treasury cash manager in Delaware is $105,763.00, according to ZipRecruiter salary data. Most workers in this role earn between $87,100.00 and $121,600.00 per year, depending on experience, location, and employer.

What does a treasury cash manager do?

A Treasury Cash Manager is responsible for overseeing an organization's daily cash flow, ensuring that there are enough funds available to meet operational needs, and optimizing the use of cash to maximize returns or minimize costs. They monitor bank accounts, forecast cash requirements, manage short-term investments, and handle payments and receipts. Treasury Cash Managers also work closely with other departments to manage liquidity and reduce financial risks, making their role essential for the financial stability of a business.

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

To thrive as a Treasury Cash Manager, you need strong analytical skills, financial acumen, and a degree in finance, accounting, or a related field. Expertise with cash management systems, treasury management software (like Kyriba or SAP), and knowledge of banking platforms are typically required, as well as certifications such as CTP (Certified Treasury Professional). Excellent attention to detail, problem-solving abilities, and effective communication skills are essential soft skills for this role. These competencies enable effective cash flow management, risk mitigation, and support the overall financial stability of an organization.

What are the main challenges treasury cash managers face when optimizing daily cash positions?

Treasury Cash Managers often encounter challenges such as forecasting cash flows with accuracy, managing multiple bank accounts across regions, and ensuring liquidity while minimizing idle balances. They must also navigate shifting market conditions and regulatory requirements, which can impact cash movement and investment decisions. Effective collaboration with accounting, finance, and operations teams is essential to gather timely information and implement best practices for cash optimization.

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

AspectTreasury Cash ManagerTreasury Analyst
CredentialsTypically requires a bachelor's degree in finance, accounting, or related field; certifications like CFA or CPA are commonUsually holds a bachelor's degree in finance, accounting, or economics; certifications are less common but beneficial
Work EnvironmentManages cash flow, liquidity, and banking relationships; oversees treasury operationsAnalyzes cash data, forecasts cash flow, and supports treasury strategies
Employer & Industry UsageUsed in corporate finance departments across industriesFound in finance teams, often supporting treasury functions in various sectors

The Treasury Cash Manager focuses on managing overall cash flow, liquidity, and banking relationships, often overseeing treasury operations. In contrast, the Treasury Analyst primarily analyzes cash data, forecasts cash flow, and supports treasury strategies. Both roles require similar educational backgrounds, but the Cash Manager typically holds more experience and responsibilities.

What are popular job titles related to Treasury Cash Manager jobs in Delaware?

For Treasury Cash Manager jobs in Delaware, the most frequently searched job titles are:

What job categories do people searching Treasury Cash Manager jobs in Delaware look for?

The top searched job categories for Treasury Cash Manager jobs in Delaware are:

What cities in Delaware are hiring for Treasury Cash Manager jobs?

Cities in Delaware with the most Treasury Cash Manager job openings:

Infographic showing various Treasury Cash Manager job openings in Delaware as of August 2026, with employment types broken down into 100% Full Time. Highlights an 75% In-person, 17% Hybrid, and 8% Remote job distribution, with an average salary of $105,763 per year, or $50.8 per hour.

Full-time

PTO

Re-posted 4 days ago


Job description

Treasury Analyst

Wilmington, DE

Monday to Friday 8:00 am to 5:00 pm

Hybrid (three days in office per week and two days' work from home)ย 

The Treasury Analyst position plays a critical role in supporting financial operations of a global organization based in Wilmington, Delaware. This hybrid role focuses on supporting global treasury operations, optimizing cash flow operations, monitoring liquidity, and contributing to key financial initiatives. The Treasury Analyst is a member of the global Treasury team and reports to the Treasury Manager in Wilmington.

Some of the things you will be doing:

  • Manage daily cash operations and banking activitiesย 
  • Calculate,ย forecast, and position cash balances to support liquidity needsย 
  • Prepare and execute wire transfers, ensuring timely and accurate fundingย 
  • Serve as a liaison with multiple banking partners, addressing inquiries and requestsย 
  • Administer access and user management for online banking platformsย 
  • Support internal and external audit processes related to treasury operationsย 
  • Contribute to monthly analysis of treasury metrics to ensure global policy alignmentย 
  • Assist in the development and implementation of best practice treasury policies and proceduresย 

What technical skills, experience, and qualifications do you need?

  • Bachelor's or master's degree in finance, accounting, economics, or a related field
  • 3 to 5 years of experience in financial services, treasury, cash management, or banking
  • Takes initiative and ownership, consistently seeking opportunities to add value
  • Collaborative team player with a proactive and solution-oriented mindset
  • Motivated self-starter, capable of thriving in an entrepreneurial environment with minimal supervision
  • Strong analytical foundation, including expertise in finance and accounting, and a solid understanding of corporate banking operations
  • Excellent written and verbal communication skills, with a high level of professionalism and maturity
  • Great organizational and time management abilities, with a proven track record of handling multiple priorities and meeting deadlines
  • Proficientย in cross-functional collaboration and stakeholder engagement
  • Eagerness to learn and grow within a dynamic corporate finance environment
  • Advanced technical skills including proficiency in Excel, ERP systems, treasury platforms, and banking software
  • Proficiency in a experience in a corporate treasury setting is highly desirableย 
  • Familiarity with GTreasury workstation isย a strong plusย 

#Hybrid

CSC is a global business, legal, and financial services company based in Wilmington, Delaware, USA, providing knowledge-based solutions to clients worldwide. We have offices and capabilities in over 140 jurisdictions in the Americas, Europe, Asia Pacific, and the Middle East, and more than 8,000 colleagues. We are the business behind business.

Visit our careers site to learn more about CSC and our commitment to our clients, communities, and each other.

CSC is committed to creating a feeling of belonging through a diverse and growth-oriented environment where everyone is valued.

CSC colleagues have global career opportunities and excellent benefits, including annual success-sharing bonuses or commission plans based on individual performance. To learn more, visit cscglobal.com/service/careers.ย 

We offer a range of support to colleagues with disabilities, ensuring people have the necessary resources to thrive in their roles. We encourage candidates to work closely with our talent acquisition partners to convey their specific needs. Our commitment to accessibility reflects our broader dedication to diversity and belonging,

CSC only accepts resumes from employment agencies that are part of our approved supplier program. Resumes submitted from other agencies either to talent acquisition, our hiring leaders, employees, or through any other mechanism other than our supplier process, will not be eligible to claim related fees and the submitted resumes will be considered property of CSC.

We encourage candidates to apply directly to our website and not through third-party sources.

Disclaimer: The information above describes the general nature and level of work performed by employees in this role. It is not intended to describe all duties, responsibilities, and qualifications.

At CSC, we're always looking ahead, finding ways to innovate, challenge the status quo, and anticipate the needs of our clients. We exceed expectations by adapting client ambitions and goals as our own. This Fierce Client Spirit has helped us adapt and create solutions that have enabled businesses to run smoother and smarter for more than 125 years. It's also the reason we're the trusted partner of many of the world's most successful organizations.

CSC is committed to attracting, developing, and retaining talented people whose values align with ours. We empower our colleagues to bring the right solutions to market to meet client demand. That's why we are the leading provider of business administration and compliance solutions.
  • CSC is a great place to work with smart and dedicated people.
  • We have won several employer recognition awards, including Top Workplace USA, Great Places to Work India, and Built In's Best Places to Work.
  • We offer fulfilling work and career opportunities. Most positions are filled with internal moves and employee referrals.
  • Employees are eligible for Success Sharing, bonuses, or commission plans based on role and individual performance.
  • CSC offers a competitive and comprehensive benefits package that includes annual leave, tuition reimbursement, referral bonuses, and more.
  • As business needs allow, CSC offers hybrid or remote work schedules in alignment with local regulations. Specific details for this position will be discussed during the interview process.