Treasury Management Officer Department: Treasury Services Location: Omaha, NE (On-Site) Job Type ... Lender, Bank Manager, and/or Market President) * Contribute to the bank's profitability and growth ...
Treasury Management Officer Department: Treasury Services Location: Omaha, NE (On-Site) Job Type ... Lender, Bank Manager, and/or Market President) * Contribute to the bank's profitability and growth ...
Treasury Management Officer Department: Treasury Services Location: Omaha, NE (On-Site) Job Type ... Lender, Bank Manager, and/or Market President) * Contribute to the bank's profitability and growth ...
Treasury Management Officer Department: Treasury Services Location: Omaha, NE (On-Site) Job Type ... Lender, Bank Manager, and/or Market President) * Contribute to the bank's profitability and growth ...
The Treasury & Investment Operations Manager is responsible for the operational administration, accounting, reporting, and control functions supporting the Bank's investment portfolio and treasury ...
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The Treasury & Investment Operations Manager is responsible for the operational administration, accounting, reporting, and control functions supporting the Bank's investment portfolio and treasury ...
Treasury Management Associate Department: Treasury Location: Lincoln, NE (On-Site) Status: Full-time/Salary Jump start your career at Equity Bank ! We are currently hiring energetic, team oriented ...
Treasury Management Associate Department: Treasury Location: Lincoln, NE (On-Site) Status: Full-time/Salary Jump start your career at Equity Bank ! We are currently hiring energetic, team oriented ...
Treasury Management Associate Department: Treasury Location: Lincoln, NE (On-Site) Status: Full-time/Salary Jump start your career at Equity Bank ! We are currently hiring energetic, team oriented ...
Treasury Management Associate Department: Treasury Location: Lincoln, NE (On-Site) Status: Full-time/Salary Jump start your career at Equity Bank ! We are currently hiring energetic, team oriented ...
Treasury Sales Officer
Omaha, NE · On-site
Prospect, identify, and close new treasury management relationships with business clients in assigned market(s) * Expand treasury product usage and fee income within existing commercial and business ...
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Treasury Sales Officer
Omaha, NE · On-site
Prospect, identify, and close new treasury management relationships with business clients in assigned market(s) * Expand treasury product usage and fee income within existing commercial and business ...
This role offers valuable experience in client relationship management, Treasury & Payments solutions, and business development, creating a strong foundation for potential roles in Treasury ...
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This role offers valuable experience in client relationship management, Treasury & Payments solutions, and business development, creating a strong foundation for potential roles in Treasury ...
This role offers valuable experience in client relationship management, Treasury & Payments solutions, and business development, creating a strong foundation for potential roles in Treasury ...
This role offers valuable experience in client relationship management, Treasury & Payments solutions, and business development, creating a strong foundation for potential roles in Treasury ...
What We Do What We Do Treasury supports the company's funding operations, liquidity management, operational controls, and financial infrastructure. Our team plays a critical role in ensuring the ...
What We Do What We Do Treasury supports the company's funding operations, liquidity management, operational controls, and financial infrastructure. Our team plays a critical role in ensuring the ...
Mgr Investments & Reporting
Omaha, NE · Hybrid
Treasury & Cash Management * Oversee daily cash management, liquidity planning, and banking relationships. * Develop and maintain short- and long-term cash flow forecasts. * Evaluate cash management ...
Mgr Investments & Reporting
Omaha, NE · Hybrid
Treasury & Cash Management * Oversee daily cash management, liquidity planning, and banking relationships. * Develop and maintain short- and long-term cash flow forecasts. * Evaluate cash management ...
Mgr Investments & Reporting
Omaha, NE · On-site
Treasury & Cash Management * Oversee daily cash management, liquidity planning, and banking relationships. * Develop and maintain short- and long-term cash flow forecasts. * Evaluate cash management ...
Mgr Investments & Reporting
Omaha, NE · On-site
Treasury & Cash Management * Oversee daily cash management, liquidity planning, and banking relationships. * Develop and maintain short- and long-term cash flow forecasts. * Evaluate cash management ...
Deposit accounts, business loans, treasury management, and merchant services. * Wealth Services: Financial consultant referrals and wealth product engagement. * Ensure decisioning frameworks account ...
Deposit accounts, business loans, treasury management, and merchant services. * Wealth Services: Financial consultant referrals and wealth product engagement. * Ensure decisioning frameworks account ...
Commercial Loan Officer / Commercial Lender
$100K - $175K/yr
Cross-sell treasury management, deposit products, and other banking services to deepen customer relationships * Maintain regular client contact through scheduled business visits and relationship ...
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Commercial Loan Officer / Commercial Lender
$100K - $175K/yr
Cross-sell treasury management, deposit products, and other banking services to deepen customer relationships * Maintain regular client contact through scheduled business visits and relationship ...
Collaborate with bank Treasury Managers to design and implement customer sales plans that will lead to effective cross-sale opportunities. * Maintain and apply a thorough understanding of Merchant ...
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Collaborate with bank Treasury Managers to design and implement customer sales plans that will lead to effective cross-sale opportunities. * Maintain and apply a thorough understanding of Merchant ...
Oversee treasury-related activities, including payment approvals, banking transactions, and ... Manage documentation related to tax filings, exemption certificates, and reporting obligations.
Oversee treasury-related activities, including payment approvals, banking transactions, and ... Manage documentation related to tax filings, exemption certificates, and reporting obligations.
Oversee treasury-related activities, including payment approvals, banking transactions, and ... Manage documentation related to tax filings, exemption certificates, and reporting obligations.
Oversee treasury-related activities, including payment approvals, banking transactions, and ... Manage documentation related to tax filings, exemption certificates, and reporting obligations.
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
Financial Operations Manager
Lincoln, NE · On-site
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
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Financial Operations Manager
Lincoln, NE · On-site
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
Financial Operations Manager
Lincoln, NE · On-site
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
Financial Operations Manager
Lincoln, NE · On-site
Cash & Treasury Management * Oversee cash management, bank reconciliations, and banking relationships. * Monitor working capital and cash flow trends. * Ensure appropriate controls over disbursements ...
... treasury while strengthening internal controls and process improvements to support the firm ... Effectively manage, mentor and support a team of accountants * Take ownership of the day-to-day ...
... treasury while strengthening internal controls and process improvements to support the firm ... Effectively manage, mentor and support a team of accountants * Take ownership of the day-to-day ...
Treasury Manager information
See Nebraska salary details
$47.2K - $56K
3% of jobs
$56K - $64.7K
5% of jobs
$64.7K - $73.5K
4% of jobs
$73.5K - $82.2K
10% of jobs
$84K is the 25th percentile. Wages below this are outliers.
$82.2K - $91K
13% of jobs
The median wage is $99.7K / yr.
$91K - $99.7K
15% of jobs
$99.7K - $108.5K
14% of jobs
$114.6K is the 75th percentile. Wages above this are outliers.
$108.5K - $117.2K
16% of jobs
$117.2K - $126K
9% of jobs
$126K - $134.7K
7% of jobs
$134.7K - $143.5K
4% of jobs
$47.2K
$100.8K
$143.5K
How much do treasury manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a Treasury Manager, and why are they important?
What are the main challenges a Treasury Manager faces when managing cash flow in a dynamic business environment?
What does a Treasury Manager do?
What is the difference between Treasury Manager vs Cash Manager?
| 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.
What Are the Qualifications to Become a Treasury Manager?
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.

Full-time
Medical, Dental, Vision, Life, Retirement, PTO
Posted 27 days ago
Equity Bank rating
5.8
Based on 17 frontline employees who took The Breakroom Quiz
158th of 170 rated banks
Job description
- Drive new sales opportunities by identifying client and prospect treasury management needs through consultative sales and relationship reviews
- Consult with clients and prospects on the phone and in person; know their business and anticipate their treasury needs
- Ensure SLA’s are met daily and documentation is accurate
- Resolve internal and external client issues and provide technical support for clients as needed
- Act as liaison for all bank lines of business by providing timely communication regarding product, service and SLA changes/opportunities/challenges
- Manage day-to-day ACH, Wire and Remote Deposit limit needs/risk assessment for clients in accordance with policies and procedures
- Monitor and drive portfolio growth – both deposit and non-interest income - by reviewing client’s needs on a regular basis
- Create, support and oversee annual relationship reviews in partnership with lead officer assigned to account (i.e. Lender, Bank Manager, and/or Market President)
- Contribute to the bank’s profitability and growth by achieving goals for fee income, new deposits and growth while controlling expenses
- Participate in outside business development opportunities and networking events
- Stay abreast of key competitor product/service offerings in target markets, including products, features, pricing and competitive advantages/disadvantages
- Provide ongoing product training to bank clients and bank personnel bank wide, including technical support, as needed
- Develop full and detailed knowledge of all lines of business. Become a champion for creating opportunities to refer clients to Wealth Management, Private Banking, Mortgage, Consumer and Commercial Lending, Retail accounts, as well as attract deposits
- Understanding of credit risk, operational risk and the risk associated with treasury management products and how the risk relates to our customers and the bank
- Partner with Treasury Management Analyst to ensure successful completion of all TM documentation and seamless onboarding experience for client
- Collaborate with Treasury Services and Deposit Operations regarding product features/benefits and enhancements as necessary to remain competitive in targeted customer and geographic markets
- Periodically evaluate product pricing and bundling strategies and make recommendations to Deposit Operations Manager and Treasury Management Director
- Develop and implement “share of wallet” and “onboarding” strategies for new and existing small business and commercial clients
- Proactively call on existing and new clients to introduce new product initiatives and schedule annual relationship reviews
- Actively participate in sales meetings and calling/marketing initiatives
- Develop calling/marketing program for “deposit only” clients and partner with other lines of business to execute
- Enter all Activities, Appointments, Incidents, etc. into Connect (CRM) for every TM client and bank interaction
- Maintain and deliver accurate Treasury Management sales pipeline and closed sales reports on a timely basis through Connect
- Support Analyst team and retail partners on Treasury Management expectations for Connect
- Bachelor’s degree
- 5 or more years
- Extensive knowledge of banking industry
- Interpersonal skills commensurate with conducting external customer presentations. Excellent presentation, verbal and written communication skills
- Excellent customer service and retention skills
- Ability to work independently with minimal guidance, takes initiative /self-starter
- Time management skills, ability to effectively manage internal/external requests, concerns and problems in a professional and timely manner
- Ability to overcome objections
- Proactive follow through on issues for resolution
- Ability to relate and empathize with others
- Proficiency in using Microsoft products; Word, Excel and Power Point
- Previous Management experience
- Bachelor's degree in business, finance or related field
- 2-5 years of Treasury Management experience
- Health, Dental amp; Vision Insurance
- Group Life amp; Long-Term Disability Insurance
- Flexible Spending amp; Health Savings Accounts
- Group Cancer Insurance
- 401(K) Retirement Plan w/Company Match
- Generous Vacation amp; Sick Time
- Employee Stock Purchase Plan (ESPP)
- Pet Insurance
- Retail Banking Benefits
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