Treasury Manager
Edina, MN · On-site
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
Edina, MN · On-site
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
Edina, MN · On-site
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
Edina, MN · On-site
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
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Edina, MN · On-site
We need a dedicated Treasury Manager who owns the cash function completely: daily positioning across the full entity portfolio, payment prioritization, intercompany fund management, debt service ...
The Treasury Manager of Business Projects & Treasury Integrations provides subject matter expertise on cash management, banking, payments, liquidity, forecasting, funding, financial risk management ...
The Treasury Manager of Business Projects & Treasury Integrations provides subject matter expertise on cash management, banking, payments, liquidity, forecasting, funding, financial risk management ...
The Treasury Manager of Business Projects & Treasury Integrations provides subject matter expertise on cash management, banking, payments, liquidity, forecasting, funding, financial risk management ...
The Treasury Manager of Business Projects & Treasury Integrations provides subject matter expertise on cash management, banking, payments, liquidity, forecasting, funding, financial risk management ...
Bagley, MN · On-site
$125 - $150/hr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Bagley, MN · On-site
$125 - $150/hr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Audubon, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Audubon, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Cambridge, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Cambridge, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Detroit Lakes, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Detroit Lakes, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Park Rapids, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Park Rapids, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Bagley, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Bagley, MN · On-site
$124K - $150K/yr
This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination.
Minneapolis, MN · On-site
$130K - $143K/yr
Senior Manager, Tax & Treasury | Minneapolis-St. Paul We are helping hire a Senior Manager, Tax & Treasury to build and lead both functions of a newly announced JV. Reporting to the Global Controller ...
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Minneapolis, MN · On-site
$130K - $143K/yr
Senior Manager, Tax & Treasury | Minneapolis-St. Paul We are helping hire a Senior Manager, Tax & Treasury to build and lead both functions of a newly announced JV. Reporting to the Global Controller ...
Work you'll do As a Kyriba Treasury Manager on the Controllership and Treasury Transformation team, you will be responsible for leading treasury transformation engagements, advising clients on ...
Work you'll do As a Kyriba Treasury Manager on the Controllership and Treasury Transformation team, you will be responsible for leading treasury transformation engagements, advising clients on ...
... Manager at Associated Bank, you'll lead the strategy and growth of assigned treasury management products and solutions, from product development and positioning through ongoing lifecycle management.
... Manager at Associated Bank, you'll lead the strategy and growth of assigned treasury management products and solutions, from product development and positioning through ongoing lifecycle management.
Manage end-to-end delivery for SAP Treasury and treasury management system implementations, including scope, timelines, resources, deliverables, testing, and stakeholder alignment. * Build and ...
Manage end-to-end delivery for SAP Treasury and treasury management system implementations, including scope, timelines, resources, deliverables, testing, and stakeholder alignment. * Build and ...
$48.5K - $57.5K
3% of jobs
$57.5K - $66.5K
5% of jobs
$66.5K - $75.5K
4% of jobs
$75.5K - $84.5K
10% of jobs
$86.3K is the 25th percentile. Wages below this are outliers.
$84.5K - $93.4K
13% of jobs
The median wage is $102.4K / yr.
$93.4K - $102.4K
15% of jobs
$102.4K - $111.4K
14% of jobs
$117.7K is the 75th percentile. Wages above this are outliers.
$111.4K - $120.4K
16% of jobs
$120.4K - $129.4K
9% of jobs
$129.4K - $138.4K
7% of jobs
$138.4K - $147.4K
4% of jobs
$48.5K
$103.5K
$147.4K
As a treasury manager, your duties are to oversee, monitor, and manage the financial planning of a business or financial institution. To become a treasury manager, you typically need a bachelor’s degree in finance, economics, or business administration. You also need at least five years of experience in financial planning or accounting, particularly positions with supervisory responsibilities. An MBA, CPA, or license as a Certified Treasury Professional may significantly improve your job opportunities. Additional qualifications include strong accounting, organizational, and multitasking skills, as well as knowledge of financial principles and attention to detail.
| Aspect | Treasury Manager | Cash Manager |
|---|---|---|
| Primary Focus | Managing overall corporate liquidity, funding, and financial risk | Overseeing daily cash flow, collections, and disbursements |
| Certifications | CPA, CFA, or treasury-specific certifications often preferred | Typically no specialized certifications required |
| Work Environment | Strategic planning, financial analysis, and risk management | Operational, focused on daily cash activities |
| Industry Usage | Common in large corporations and financial institutions | Found in companies with significant cash handling needs |
The Treasury Manager oversees the company's overall treasury functions, including liquidity and risk management, while the Cash Manager handles daily cash operations. Both roles are essential for financial health but differ in scope and strategic focus.
The most popular types of Treasury jobs in Minnesota are:
For Treasury Manager jobs in Minnesota, the most frequently searched job titles are:
The top searched job categories for Treasury Manager jobs in Minnesota are:
Cities in Minnesota with the most Treasury Manager job openings:

Edina, MN • On-site
Full-time
Medical, Dental, Vision, Retirement, PTO
Re-posted 11 days ago