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Treasury Implementation Jobs in Massachusetts (NOW HIRING)

This role leads strategic initiatives, including providing support for regional finance teams, implementing treasury projects, and generating continuous process improvements for various treasury and ...

Treasury Analyst

West Bridgewater, MA · On-site

$65K - $78K/yr

Treasury Analyst Overview: At Easton Select Group , we are committed to creating a workplace where ... Implement automation processes for incoming and outgoing cash flows. * Oversee credit and ...

Accounting Manager - Treasury

Boston, MA · Hybrid

$108K - $162K/yr

Act as the primary accounting stakeholder in the development, implementation, and optimization of Vertex's Treasury Management System, with a focus on enhancing the functionality of Kyriba's Cash ...

Treasury Analyst

West Bridgewater, MA · On-site

$65K - $78K/yr

Treasury Analyst Overview: At Easton Select Group , we are committed to creating a workplace where ... Implement automation processes for incoming and outgoing cash flows. * Oversee credit and ...

Sr. Associate, Treasury

Boston, MA · Hybrid

$100K - $110K/yr

This role will focus on maintaining and enhancing treasury systems, resolving issues, and ... Experience supporting financial systems or technology implementations preferred #LI-Hybrid Base ...

Senior Associate, Treasury

Boston, MA · Hybrid

$100K - $110K/yr

As a member of the Treasury team, you will have the opportunity to contribute to the growth ... AI - Ability to implement AI into daily workflows either through data modeling research, automation ...

Assists with implementations and support of banking technologies and software/web applications * Assists with other treasury related projects as they come up * Consistently demonstrate use of tact ...

Identify and implement process improvements that increase the efficiency and effectiveness of treasury operations. * Maintain strict confidentiality of firm, attorney, and client information.

Partner with Operations, Technology, Compliance, and Product teams to ensure successful implementation and ongoing support of treasury solutions. * Serve as an escalation point for complex treasury ...

Showing results 21-40

Treasury Implementation information

What is the difference between Treasury Implementation vs Treasury Analyst?

AspectTreasury ImplementationTreasury Analyst
Primary FocusImplementing treasury systems, processes, and technology solutionsAnalyzing treasury data, managing cash flow, and supporting treasury operations
Required SkillsProject management, system integration, financial software proficiencyFinancial analysis, reporting, cash management skills
Work EnvironmentProject-based, cross-departmental teams, often within corporate treasury departmentsOngoing operational support within treasury or finance teams
CertificationsTypically not required but familiarity with treasury systems and certifications like CFA or CPA can helpCertifications like CFA, CPA, or Treasury certifications are common

In summary, Treasury Implementation focuses on deploying treasury systems and processes, while Treasury Analysts handle ongoing analysis and management of treasury operations. Both roles are essential but differ in scope and daily responsibilities.

Is treasury implementation a good career path?

Treasury implementation involves setting up and managing financial systems and processes related to corporate cash management, risk mitigation, and banking relationships. It requires strong analytical skills, knowledge of financial software, and often a certification such as CFA or CPA. The role offers opportunities for career growth in finance and risk management sectors.

What does a treasury implementation do?

A treasury implementation professional manages the deployment of treasury systems, processes, and tools to improve cash management, risk mitigation, and financial operations. They often work with software platforms, ensure compliance, and coordinate with finance teams to optimize liquidity and funding strategies.

What are popular job titles related to Treasury Implementation jobs in Massachusetts?

For Treasury Implementation jobs in Massachusetts, the most frequently searched job titles are:

What job categories do people searching Treasury Implementation jobs in Massachusetts look for?

The top searched job categories for Treasury Implementation jobs in Massachusetts are:

What cities in Massachusetts are hiring for Treasury Implementation jobs?

Cities in Massachusetts with the most Treasury Implementation job openings:

Infographic showing various Treasury Implementation job openings in Massachusetts as of August 2026, with employment types broken down into 1% As Needed, 86% Full Time, 10% Part Time, and 3% Contract. Highlights an 88% Physical, 4% Hybrid, and 8% Remote job distribution.

Full-time

Medical, Retirement, PTO

Re-posted 7 days ago


American Tower rating

7.4

Company rating: 7.4 out of 10

Based on 8 frontline employees who took The Breakroom Quiz

53rd of 99 rated telecommunications companies


Job description

The Team

The Treasury Manager oversees a broad range of treasury activities, including American Tower's cash management operations, liquidity, , investments, foreign exchange, cash forecasting, and reporting. This role leads strategic initiatives, including providing support for regional finance teams, implementing treasury projects, and generating continuous process improvements for various treasury and payment functions. The incumbent also collaborates closely with cross-functional partners, including Accounting, Tax, Legal, Business Development, Finance, and external banking partners.  

American Tower is a global digital infrastructure company serving customers through tower sites and other real estate solutions that support connectivity and opportunity, focused on achieving our vision of Building a More Connected World. Our success is rooted in the potential of our people and the power of local teams at our offices and sites across 25 countries.
We are one of the largest global Real Estate Investment Trusts (REITs) and a publicly traded (NYSE:AMT), Fortune 500 Company headquartered in Boston, Massachusetts. The next decade will be an exciting time as we evolve our infrastructure to meet tomorrow's needs and position our people to elevate their impact, their potential, and our shared success. Come grow your career with us!
For more information about how American Tower is building a more connected world, visit americantower.com 
American Tower is proud to be an equal opportunity employer and will not discriminate against an applicant or employee based on age, sex, sexual orientation, gender identity, race, color, creed, religion, national origin or ancestry, citizenship, marital status, familial status, disability, military or veteran status, genetic information, pregnancy, reproductive decisions, or any other characteristic protected under applicable law.

American Tower is committed to fair and equitable compensation practices. Placement within the salary range is based on a variety of factors, including relevant experience, skills, certifications, job level, and location. For U.S.-based candidates only, please see the base salary range for this position listed below. This position is also eligible for annual bonus, and annual equity award and participation in the Employee Stock Purchase Plan (ESPP).  For candidates outside of the U.S., salary and benefits are based upon local market practice.

American Tower also offers a comprehensive benefits package, which includes healthcare coverage, a 401(k) savings plan, paid time off, company holidays, sick leave, parental leave, and access to an Employee Assistance Program focused on mental and financial wellness, please click here to learn more.

What You Need to Succeed

  • Bachelor's degree required, with a concentration in Accounting or Finance preferred.
  • MBA preferred.
  • Between 3-6 years of progressively responsible managerial experience in a treasury and/or finance organization required.
  • ERP system experience (Oracle preferred)
  • Treasury management system experience (Reval preferred).
  • Knowledge of principles and practices of cash management and treasury functions preferred.
  •  Spanish and/or Portuguese proficiency preferred.
  • Strong communicator and relationship builder, with the ability to think analytically and creatively while managing multiple priorities, meeting deadlines, and adapting to changing business needs.
  • Strong computer skills, including Microsoft Office suite and particularly Excel and PowerPoint; ability to quickly learn other software tools.
  • Self-motivated; able to work both independently to complete tasks and respond to requests and with others to utilize their resources and knowledge to identify quality solutions.
  • Strong organization, planning, and project management skills; ability to prioritize tasks for self and team to meet requirements and deadlines.
  • Strong leadership skills; ability to drive and motivate team to achieve results.
  • Ability to work in a time-sensitive, high volume environment.
  • Strong written and oral communication skills, including the ability to present ideas and suggestions clearly and effectively.
  • Strong organizational skills; ability to accomplish multiple tasks within agreed upon timeframes through effective prioritization of duties and functions in a fast-paced environment. 
  • Up to 15% travel may be required to support the position's responsibilities.

What You Can Offer Us

  • Manage American Tower's cash management operations, including bank accounts.
  • Execute all investments and foreign exchange for the Latin America and North America regions in accordance with the direction of the Treasurer; provide support for FX risk management.
  • Develop and produce Treasury department key performance indicator reports.
  • Oversee a team responsible for cash forecasting and variance analysis for the Americas. Drive short-term liquidity forecasting process with local finance teams.
  • Manage debt administration related to all unsecured external debt borrowings and securitizations, and debt covenant compliance activities within the Americas.
  • Support intercompany funding execution within the Americas, including the implementation of processes. needed to comply with local regulations. 
  • Support Capital Markets initiatives and the generation of continuous process improvements for various treasury and payment functions.
  • Complete incorporation of intercompany loan management into Reval.
  • Support 13-week and full-year cash flow forecasting .
  • Manage processes and procedures used to update the Company's daily cash position.
  • Lead integration of Treasury function for any business acquisitions in the Americas.
  • Respond to internal and external audit requirements and inquiries. Ensure Sarbanes-Oxley Act compliance with respect to applicable Treasury-related key controls in the region.
  • Maintain relationships with several different internal departments, including Financial Planning and Analysis, Tax, Accounting, Business Development, and Legal.
  • Maintain relationships with banks.
  • Oversee monitoring of bank services and related fees.
  • Provide coverage and support for other Treasury team members.
  • Assist with meeting regular and ad hoc deadlines for projects, which will occasionally require evening and weekend availability.
  • Lead and develop a high-performing Treasury team, fostering a collaborative and results-driven environment. 
  • Manage end-to-end talent lifecycle, including recruiting, onboarding, coaching, and retention in partnership with HR and senior leadership. 
  • Drive performance management processes, setting clear goals, conducting regular feedback and evaluations, and ensuring timely communication of expectations and updates. 
  • Address employee relations matters proactively, partnering with HR to resolve issues and support a positive team culture.
  • Other duties as assigned.
     

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