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Treasury Finance Manager Jobs in Indiana (NOW HIRING)

PURPOSE The Finance Manager is responsible for driving the integration of treasury operations, capital markets strategy, financial planning, and advanced modeling for our Montana Renewables (MRL ...

PURPOSE The Finance Manager is responsible for driving the integration of treasury operations, capital markets strategy, financial planning, and advanced modeling for our Montana Renewables (MRL ...

Fur eines unserer Portfoliounternehmen suchen wir fur den Standort Bremen eine:n Finance Manager (m/w/d) Als Finance Manager mit den Schwerpunktenten Treasury und Controlling ubernehmen Sie eine ...

This position will join a high-performing treasury team responsible for cash management, forecasting, liquidity optimization, payment processing, financial modeling, and treasury operations. This ...

This position will join a high-performing treasury team responsible for cash management, forecasting, liquidity optimization, payment processing, financial modeling, and treasury operations. This ...

Oversee treasury functions, including daily cash management and accurate cash flow forecasting * Drive process improvement and automation initiatives to enhance financial reporting and KPI metric ...

Oversee treasury functions, including daily cash management and accurate cash flow forecasting * Drive process improvement and automation initiatives to enhance financial reporting and KPI metric ...

Financial Reporting Manager

Tipton, IN · On-site

$97K - $132K/yr

Minimum of 5 years of experience in banking, treasury, finance, risk management, operations, project management or related fields required. Preferably in a regulated financial services environment.

Financial Reporting Manager

Tipton, IN · On-site

$97K - $132K/yr

Minimum of 5 years of experience in banking, treasury, finance, risk management, operations, project management or related fields required. Preferably in a regulated financial services environment.

Financial Reporting Manager

Tipton, IN · On-site

$97K - $132K/yr

Minimum of 5 years of experience in banking, treasury, finance, risk management, operations, project management or related fields required. Preferably in a regulated financial services environment.

Partners with Corporate (accounting, tax, treasury, IT, HR, sales, environmental compliance, legal, etc.) and area field financial management to proactively identify risks, opportunities, and ...

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Treasury Finance Manager information

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

AspectTreasury Finance ManagerTreasury Analyst
CredentialsBachelor's degree in Finance, Accounting, or related field; often CPA or CFABachelor's degree in Finance, Economics, or related field; certifications less common
Work EnvironmentOversees treasury operations, manages teams, strategic planningPerforms daily cash management, data analysis, reporting
Employer & Industry UsageFinancial institutions, large corporations, multinational companiesCorporations, banks, financial services firms

The Treasury Finance Manager typically handles strategic treasury functions, manages teams, and oversees financial risk, while the Treasury Analyst focuses on daily cash management, data analysis, and reporting. Both roles are essential in treasury operations but differ in scope and seniority.

What are the key skills and qualifications needed to thrive as a Treasury Finance Manager?

To thrive as a Treasury Finance Manager, you need strong analytical skills, financial acumen, and a degree in finance or accounting, often supported by CPA, CFA, or ACT qualifications. Proficiency in treasury management systems (TMS), cash flow modeling tools, and ERP platforms like SAP or Oracle is typically required. Excellent communication, leadership, and problem-solving abilities help you collaborate across departments and manage financial risks effectively. These skills ensure sound liquidity management, regulatory compliance, and strategic financial decision-making within an organization.

How much do treasury finance managers make in the US?

Treasury finance managers in the US typically earn a median annual salary of around $100,000 to $130,000, with experienced professionals and those in larger organizations earning higher salaries. Compensation can vary based on factors such as location, industry, and level of experience, and often includes bonuses and benefits. Strong skills in financial analysis, risk management, and proficiency with treasury management systems are important for this role.

What is the difference between a finance manager and a treasury finance manager?

A treasury finance manager focuses on managing a company's liquidity, cash flow, banking relationships, and financial risk, often using tools like treasury management systems. A finance manager oversees broader financial planning, budgeting, reporting, and analysis, supporting strategic decision-making across the organization. While both roles require strong financial skills, treasury managers specialize in cash and risk management, whereas finance managers handle overall financial health and compliance.

What does a Treasury Finance Manager do?

A Treasury Finance Manager oversees an organization's financial activities related to cash flow, investments, and risk management. They are responsible for managing liquidity, optimizing funding strategies, and ensuring the company’s financial obligations are met efficiently. Their duties often include cash forecasting, banking relationships, debt management, and financial reporting. Treasury Finance Managers play a key role in safeguarding the company’s financial stability and supporting strategic financial planning. They often collaborate with other finance departments and advise senior management on financial decisions.

What are some common challenges faced by Treasury Finance Managers, and how can they be addressed?

Treasury Finance Managers often face challenges such as managing liquidity in volatile markets, ensuring compliance with evolving regulations, and optimizing cash flow across multiple entities or currencies. These challenges can be addressed by implementing robust forecasting models, maintaining strong relationships with banking partners, and staying up to date on regulatory changes. Additionally, collaborating closely with accounting, tax, and business units ensures alignment on cash management strategies and risk mitigation.
What are popular job titles related to Treasury Finance Manager jobs in Indiana? For Treasury Finance Manager jobs in Indiana, the most frequently searched job titles are:
What job categories do people searching Treasury Finance Manager jobs in Indiana look for? The top searched job categories for Treasury Finance Manager jobs in Indiana are:

Finance Manager

calumet

Indianapolis, IN • On-site

Other

Re-posted 6 days ago


Job description

PURPOSE

The Finance Manager is responsible for driving the integration of treasury operations, capital markets strategy, financial planning, and advanced modeling for our Montana Renewables (MRL) business. Reporting directly to the VP, Finance, the Finance Manager will be instrumental in optimizing liquidity, shaping capital strategy, and delivering actionable financial insights that support the growth and innovation of one of North America's leading renewable fuels platforms.

KEY RESPONSIBILITIES

Strategic Finance & Financial Modeling

  • Review and support dynamic financial models for long-range planning, scenario analysis, and capital allocation.
  • Collaborate with business leaders to assess investment opportunities and strategic initiatives.
  • Support budgeting and forecasting processes for MRL [related to compliance requirements].
  • Analyze financial performance and deliver insights to improve outcomes.
  • Develop and monitor KPIs and executive dashboards

Treasury & Capital Management

  • Lead liquidity short- and long-term forecasting.
  • Manage debt compliance and financial strategies, with a focus on Department of Energy (DoE) financing.
  • Support capital raising efforts, including investor materials and negotiation participation.

Cross-Functional Collaboration

  • Serve as a key liaison between Treasury, MRL and corporate finance teams.
  • Coordinate with shared services to ensure streamlined financial operations.
  • Support financial reporting and controls for major expansion projects.

Leadership & Continuous Improvement

  • Lead initiatives focused on process optimization and financial innovation.
  • Promote a culture of excellence and accountability.

REQUIRED EDUCATION/EXPERIENCES

  • Bachelor's degree in Finance, Accounting, Economics, or related field.
  • Minimum 5 years of progressive experience in treasury, FP&A, or strategic finance.
  • Advanced financial modeling and analytical capabilities.
  • Strong communication and stakeholder engagement skills.

PREFERRED EDUCATION/EXPERIENCES

  • MBA or CFA designation.
  • Experience in energy, manufacturing, or capital-intensive sectors.
  • Familiarity with government financing, financial covenants, and SEC/SOX compliance.
  • Familiarity with ERP systems and financial planning tools.

CORE COMPETENCIES

  • Strategic mindset and commercial acumen.
  • High integrity and sound judgment.
  • Entrepreneurial approach to problem-solving.
  • Collaborative leadership and team development skills.
  • Demonstration of Calumet Values – Safety, Environment & Social Responsibility, Teamwork, Ownership, Passion for Customers, and Excellence