Senior Treasury Manager
Wellesley, MA · On-site
The Senior Treasury Manager is responsible for providing senior leadership over the College ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Wellesley, MA · On-site
The Senior Treasury Manager is responsible for providing senior leadership over the College ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Wellesley, MA · On-site
The Senior Treasury Manager is responsible for providing senior leadership over the College ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Why you'll love this job As a member of the Treasury, Debt Management & Compliance team your primary role will be to help manage American Airlines's debt complex, including all components of ...
Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury functions ...
Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury functions ...
Iselin, NJ · On-site
$133K/yr
The Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury ...
Iselin, NJ · On-site
$133K/yr
The Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury ...
Iselin, NJ · Hybrid
$133K/yr
The Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury ...
Iselin, NJ · Hybrid
$133K/yr
The Manager, Debt and Treasury will oversee the debt portfolio and ensure compliance with debt covenants and Municipal Securities Rulemaking Board (MSRB) regulations; assist with all treasury ...
Cleveland, OH · On-site
Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury operations.
Quick apply
Cleveland, OH · On-site
Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury operations.
$180K - $200K/yr
Overview The Senior Treasury Manager is responsible for providing senior leadership over the ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
$180K - $200K/yr
Overview The Senior Treasury Manager is responsible for providing senior leadership over the ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Quick apply
Redwood City, CA · On-site
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Redwood City, CA · On-site
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Chicago, IL · On-site
Support Treasurer in debt management activities, including borrowing, repayment, and covenant reporting under existing credit agreements. * Manage foreign exchange, interest rate, and other financial ...
Chicago, IL · On-site
Support Treasurer in debt management activities, including borrowing, repayment, and covenant reporting under existing credit agreements. * Manage foreign exchange, interest rate, and other financial ...
Redwood City, CA · On-site
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Redwood City, CA · On-site
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Cleveland, OH · On-site
Description Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury ...
Cleveland, OH · On-site
Description Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury ...
Cleveland, OH · On-site
Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury operations.
Cleveland, OH · On-site
Position Summary The Treasury Manager is responsible for overseeing the company's cash management, banking structure and relationships, liquidity planning, debt compliance and treasury operations.
Redwood City, CA · On-site +1
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Redwood City, CA · On-site +1
Manage cash liquidity forecast, debt operations, and banking relationship management * Support ... Own treasury-related month/quarter-end close activities and partner closely with Accounting to ...
Wellesley Hills, MA · On-site
$180K - $200K/yr
OverviewThe Senior Treasury Manager is responsible for providing senior leadership over the College ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Wellesley Hills, MA · On-site
$180K - $200K/yr
OverviewThe Senior Treasury Manager is responsible for providing senior leadership over the College ... Oversees debt service administration, bond-related schedules, letters of credit, performance bonds ...
Prepare financial models, reconciliations, and variance analyses. * Assist with debt management and cash investment tracking, and support month-end, quarter-end, and year-end treasury and accounting ...
Prepare financial models, reconciliations, and variance analyses. * Assist with debt management and cash investment tracking, and support month-end, quarter-end, and year-end treasury and accounting ...
West Chester, OH · On-site
This role is responsible for ensuring the company maintains adequate liquidity, optimizes the use of cash, manages debt and investment activity, and strengthens internal controls across treasury ...
West Chester, OH · On-site
This role is responsible for ensuring the company maintains adequate liquidity, optimizes the use of cash, manages debt and investment activity, and strengthens internal controls across treasury ...
$49.5K - $58.7K
3% of jobs
$58.7K - $67.9K
5% of jobs
$67.9K - $77K
4% of jobs
$77K - $86.2K
10% of jobs
$88.1K is the 25th percentile. Wages below this are outliers.
$86.2K - $95.4K
13% of jobs
The median wage is $104.6K / yr.
$95.4K - $104.6K
15% of jobs
$104.6K - $113.8K
14% of jobs
$120.2K is the 75th percentile. Wages above this are outliers.
$113.8K - $123K
16% of jobs
$123K - $132.1K
9% of jobs
$132.1K - $141.3K
7% of jobs
$141.3K - $150.5K
4% of jobs
$49.5K
$105.7K
$150.5K
Cities with the most Treasury Debt Manager job openings:
States with the most job openings for Treasury Debt Manager jobs include:
For Treasury Debt Manager jobs, the most frequently searched job titles are:

Wellesley, MA • On-site
Other
Medical, Dental, Vision, Life, Retirement, PTO
This job post has expired today. Applications are no longer accepted.
The Senior Treasury Manager is responsible for providing senior leadership over the College's treasury, cash management, banking, debt service, investment administration, billing and receipts, and related financial operations. Specifically responsible for overseeing and strengthening financial reporting, reconciliations, internal controls, and operational processes across Accounts Payable, Procurement, Student Financial Services billing and receipts, and other finance areas; assessing treasury products, services, technologies, and systems; recommending short-term investment and liquidity strategies; supporting debt and financing administration; cultivating banking relationships; and serving as a key partner to the Controller/Treasury Director on treasury operations, financial controls, process improvement, and special projects.
WHAT YOU WILL DOEvaluates, develops, and recommends fiscal policies relating to treasury management, cash operations, debt service, banking, Accounts Payable, Procurement, and Student Financial Services billing and receipts. Oversees cash management, liquidity planning, cash forecasting, short-term investment activity, and related reporting to support operating needs and strategic decision-making. Maintains and cultivates banking, investment, custodial, and other financial service provider relationships. Recommends items for strategic planning, liquidity management, short-term investing, and alternative financing strategies. Oversees debt service administration, bond-related schedules, letters of credit, performance bonds, guarantees, and related treasury reporting and controls. Analyzes, interprets, and communicates financial operating results, cash activity, debt obligations, and treasury performance to provide information and guidance to the Controller/Treasury Director. Takes a lead role in capital structure, debt management, bond issuance, debt service planning, and financing analysis to ensure the efficient use of the institution’s capacity and borrowed monies. Serves as a treasury and finance operations contact for cross-departmental projects, including billing, receipts, collections, payroll-related financial controls, and systems initiatives. Collaborates with the Controller/Treasury Director in the preparation of the annual treasury budget. Assists with developing key inputs into the balance sheet, income statements, cash flow statements, operating budgets, and treasury-related forecasts for annual planning. Coordinates internal/external audits to ensure regulatory compliance. Serves as Subject Matter Expert for accounting questions and valuation matters. Participates in and oversees the monthly and year-end close of AP, Procurement, SFS Student Billing, treasury activity, cash reconciliations, and the preparation and review of financial statements. Manages the review of College bank reports, cash activity, collections, and electronic transfers; communicates with Accounts Payable and the Controller/Treasury Director; reviews for unauthorized electronic transfers; and assists in the escheated funds process. Reviews reconciliations prepared by staff as appropriate and ensures timely resolution of outstanding items and variances. Responsible for ongoing implementation of accounting procedures and internal controls as determined by the Controller/Treasury Director. Assists in the documentation, evaluation, and testing of the College’s internal controls. Supports oversight of restricted, fiduciary, trust, agency, or similar funds, including related accounting, reconciliations, reporting, governance, and coordination with external managers or custodians. Responsible for maintaining proper security to protect confidential information & disposing of CFI in an appropriate manner (i.e., shredding/deleting electronic documents, etc.). Assists the College’s IT Department with assessing the College's compliance with the PCI data security standard. Leads or supports financial systems and technology initiatives that improve treasury operations, billing, collections, reconciliations, reporting, and internal controls. Supports the Controller/Treasury Director with ad hoc reporting, analysis, and special projects as assigned. Assumes additional responsibilities as required.
YOUR TEAM WILL INCLUDE N/AWHAT EDUCATION AND SKILLS YOU WILL NEEDBachelor’s Degree in Accounting, Business Administration, Finance, or a related field required. A minimum of 10-15 years of increasingly responsible leadership experience in treasury, accounting, public finance, banking, investment administration, debt management, or financial operations. Must have strong treasury, accounting, financial analysis, cash management, and internal control skills with the ability to apply a financial perspective and analysis for business decisions. Demonstrated experience with cash management, banking operations, debt service, investment administration, collections, financial reporting, and reconciliations. Experience with public-sector, nonprofit, higher education, municipal finance, or other complex institutional finance environments preferred. Demonstrated effectiveness in working with a diverse student body, faculty, staff, and other constituents. Must have superior leadership and coordination skills with the ability to engage others through a democratic process, while serving as key decision maker. Ability to establish creditability and confidence with stakeholders. Exceptional collaboration and interpersonal skills, and the ability to be effective engaging with all levels within the college. Must have excellent management and leadership skills. Must have excellent oral and written communication skills as well as excellent attention to detail. Must have project management expertise. Ability to be flexible and a willingness to assume new tasks and special projects. Ability to work independently as well as part of a team. Ability to multi-task. Ability to embrace ideas and changes created by all community members. Ability to work independently to solve problems; look for opportunities to take on responsibility; take thoughtful risks; and effectively act on new and ongoing initiatives, objectives, and solutions to gain sought-after results. Ability to anticipate and effectively handles change; demonstrate willingness to try new skills and challenging tasks; and is flexible in changing conditions. Must have strong computer skills including proficiency in Microsoft Office (Word, Excel, Access, PowerPoint).
HOW AND WHERE YOU WILL WORKRequires work onsite a minimum of 1 day a week in Wellesley, MA; the on-campus requirement is subject to modification based on organizational need.
ADDITIONAL SKILLS YOU MAY HAVEProfessional certification in treasury, municipal finance, accounting, cash management, or related discipline preferred. Workday Financials a plus. MBA, advanced degree, or specialized training in finance, accounting, treasury, public finance, or related discipline preferred. This is an exempt position with the following pay range: $180,428 - $200,476; the role is also eligible for bonuses based on performance and budget.
Babson College offers a comprehensive benefits package for full-time employees working at least 28 hours per week.
Insurance Coverage: Medical, dental, vision, group life and long-term disability insurance, business travel accident insurance, and mental health benefits.
Time Off: Starting at 3 weeks of vacation annually, 2 weeks of sick time, 1 week of paid family illness time, 6 weeks of paid parental leave, and 12 paid holidays per year. President's holidays are determined each year.
Retirement: Participation in a 403(b) retirement plan with mandatory employee contributions and a 4:1 employer match.
Additional Benefits: Wellbeing programs, virtual fitness platform, and employee assistance program.
All questions or concerns about this posting should be directed to the Office of Human Resources at hr@babson.edu.
About UsWe're all different. We're all Babson. Babson College is a world-class business school, empowering entrepreneurial leaders to create great economic and social value - everywhere. Here you'll find a collaborative, collegial team environment designed to include and motivate every individual. It's a rewarding and invigorating workplace – an exciting launch pad for anyone who wants to make a real impact in higher education. We provide everything you need to achieve your goals, including learning and development opportunities, outstanding benefits, rich rewards, wellness programs, and a genuine dedication to creating a diverse, multicultural and inclusive community.
Sourced by ZipRecruiter
Babson College is the premier institution for business education taught through an entrepreneurial lens. Since 1919, Babson has been providing learners with essential business skills combined with the liberal arts knowledge needed to develop an entrepreneurial mindset. This mindset transforms our students into entrepreneurial leaders making an impact around the world. Babson graduates bring entrepreneurial thinking and leadership skills to a variety of industries and businesses, from startups to nonprofits. Our students are highly pursued upon graduation because Babson prepares them to be sharp, driven, agile leaders who strive to be innovative and generate long-lasting solutions.
Colleges, universities, and professional schools
501 - 1,000 Employees
Babson Park, MA, US
1919