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Treasury Manager Jobs in Texas (NOW HIRING)

Treasury Manager

Irving, TX · On-site

$110 - $170/hr

The Treasury Manager is responsible for managing the company's global banking relationships and cash position in order to meet the financial obligations of the organization. They lead a team that ...

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The Treasury Manager is responsible for managing the company's global banking relationships and cash position in order to meet the financial obligations of the organization. They lead a team that ...

New

The Treasury Manager is responsible for managing the company's global banking relationships and cash position in order to meet the financial obligations of the organization. They lead a team that ...

New

The Treasury Manager is responsible for managing the company's global banking relationships and cash position in order to meet the financial obligations of the organization. They lead a team that ...

Treasury Manager

Irving, TX · On-site

$110 - $170/hr

Treasury Manager Responsibilities The Treasury Manager is responsible for managing the company's global banking relationships and cash position in order to meet the financial obligations of the ...

Posted today

Waste Connections is looking for a Treasury Manager to join our Corporate team in The Woodlands, TX. Key Responsibilities / Areas of Accountability: * Manage the Company's cash positioning, liquidity ...

The Treasury Manager is responsible for overseeing treasury operations for our hedge fund and alternative investment clients, with a primary focus on collateral management, cash management ...

The Treasury Manager is responsible for overseeing treasury operations for our hedge fund and alternative investment clients, with a primary focus on collateral management, cash management ...

Treasury Manager Department : Corporate Finance Location: Austin, TX (USA) Entity: Recurrent Energy Reports To: Financial Controller Description Summary: The selected candidate will be a member of ...

Treasury Manager

Richardson, TX · On-site

$114K - $143K/yr

The Treasury Manager will serve as a cornerstone of our financial operations, creating robust strategies for liquidity and risk management. You will empower our Accounting leadership with high ...

Treasury Manager Department : Corporate Finance Location: Austin, TX (USA) Entity: Recurrent Energy Reports To: Financial Controller Description Summary: The selected candidate will be a member of ...

We're looking for an experienced Treasury Manager to join our Treasury team in Austin . This role is a unique growth opportunity in our Treasury within our newly created Markets team, with the ...

We're looking for an experienced Treasury Manager to join our Treasury team in Austin . This role is a unique growth opportunity in our Treasury within our newly created Markets team, with the ...

Your Impact The Tax and Treasury Manager is responsible for overseeing various tax-related activities, treasury functions and cash management and forecasting. They ensure tax compliance, providing ...

Treasury Manager

Fort Worth, TX · On-site

$110 - $170/hr

The Treasury Manager focuses on traditional collateral management responsibilities such as margin calls, dispute resolutions, and collateral settlements. The candidate will be expected to oversee the ...

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Treasury Manager information

See Texas salary details

$46.1K

$98.5K

$140.2K

How much do treasury manager jobs pay per year?

As of Aug 10, 2026, the average yearly pay for treasury manager in Texas is $98,450.00, according to ZipRecruiter salary data. Most workers in this role earn between $81,100.00 and $113,200.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive as a treasury manager, and why are they important?

To thrive as a Treasury Manager, you need strong analytical skills, financial acumen, and a relevant degree in finance, accounting, or economics, often accompanied by professional certifications like CTP or CFA. Proficiency with treasury management systems (TMS), cash flow forecasting tools, and ERP platforms such as SAP or Oracle is typically required. Exceptional communication, leadership, and problem-solving abilities help in managing teams and collaborating with stakeholders. These skills and qualifications are crucial for optimizing liquidity, managing financial risks, and ensuring the organization's financial stability.

What are the main challenges a treasury manager faces when managing cash flow in a dynamic business environment?

A Treasury Manager often navigates challenges such as unpredictable market conditions, fluctuating interest rates, and changing business needs that can impact cash flow. Balancing liquidity while optimizing returns and minimizing risk requires robust forecasting skills and proactive communication with various departments, such as accounting, operations, and executive leadership. Additionally, staying compliant with regulatory requirements and implementing effective cash management systems are ongoing responsibilities that demand both technical expertise and adaptability.

What does a treasury manager do?

A Treasury Manager is responsible for overseeing an organization's financial assets, investments, cash flow, and liquidity. They manage banking relationships, optimize the company's capital structure, and ensure that there are sufficient funds available for operational needs. Treasury Managers also assess financial risks, develop strategies to mitigate them, and ensure compliance with financial regulations. Their work is crucial for maintaining the financial health and stability of a business.

What is the difference between Treasury Manager vs Cash Manager?

AspectTreasury ManagerCash Manager
Primary FocusManaging overall corporate liquidity, funding, and financial riskOverseeing daily cash flow, collections, and disbursements
CertificationsCPA, CFA, or treasury-specific certifications often preferredTypically no specialized certifications required
Work EnvironmentStrategic planning, financial analysis, and risk managementOperational, focused on daily cash activities
Industry UsageCommon in large corporations and financial institutionsFound 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.

What are the most commonly searched types of Treasury jobs in Texas? The most popular types of Treasury jobs in Texas are:
What job categories do people searching Treasury Manager jobs in Texas look for? The top searched job categories for Treasury Manager jobs in Texas are:
What cities in Texas are hiring for Treasury Manager jobs? Cities in Texas with the most Treasury Manager job openings:
Infographic showing various Treasury Manager job openings in Texas as of August 2026, with employment types broken down into 86% Full Time, 12% Part Time, and 2% Contract. Highlights an 86% Physical, 2% Hybrid, and 12% Remote job distribution, with an average salary of $98,450 per year, or $47.3 per hour.

Treasury Manager

Neighborly

Irving, TX • On-site

$110 - $170/hr

Other

Posted yesterday

New


Job description

Are you looking for a place where you can bring your goals, passion and drive?Welcome to Neighborly—the hub of service brands that connects customers to top-notch local experts who repair, maintain, and enhance homes and businesses. Our long-standing business, with over 40 years of experience, is focused on strategic innovation as we build the future of home and business services. Bring your ambition to the table as we unlock new doors together, taking your career to the next level.Bring your experience and be empowered to innovate.The Treasury Manager is responsible for managing the company’s global banking relationships and cash position in order to meet the financial obligations of the organization. They lead a team that performs a wide range of cash and banking duties to ensure timely and accurate billing, payment processing, and cash management. This role will be critical in maintaining and enhancing the company’s cash flow forecasting and debt facility management.Manage the company’s US and Canada cash and liquidity needs based on business operations, with some involvement of global positionsLead, direct, and develop cash management staff.Review cash and bank related journal entries posted by the treasury team.Support timely franchisee payment processing of Accounts Receivable and Notes Receivable including timely and appropriate approvals.Prepare and monitor company’s various cash flow forecasts.Debt facilities management, including borrowing, payments, and weekly compliance reporting.Evaluate, develop and implement automation and process improvements around treasury processes to optimize efficiency.Manage relationships with banks and financial service providers.Ensure appropriate documentation for regulatory requirements, such as FBAR.Monitor foreign currency exposure and foreign currency payments.Provide technical and other support for acquisitions, including treasury integration.Bring your skills and be inspired to achieve success.(Required qualifications)ExperienceA minimum of 7 years’ experience with treasury management functions, including preparing cash forecasts and analysis, maintaining banking relationships including working within banking portals, and managing debt facilities is required.A minimum of 3 years’ experience in leading, coaching, and developing teams is required.Experience with Microsoft Dynamics 365 Finance and Operations is preferred.Experience with foreign currency is preferred.Skills:Understanding and experience managing treasury functions and leading a team.Advanced analytical and technical skills.Able to prepare and analyze cash forecasts, and concisely articulate recommendations.Knowledge of banking relationships and debt covenants.Appropriate accounting knowledge to understand the impact of journal entries and bank reconciliations on the overall financials.Education:Bachelor’s Degree in Accounting/Finance required, MBA preferred.Schedule / in-office requirements: Hybrid schedule: 3 days in office at our Irving, Texas headquartersBring your goals and be enabled to reach them.Competitive Pay: Base + Annual Bonus Potential + Associate EquityBenefits: www.myneighborlybenefits.comBrand:Neighborly - USA Shared Services #J-18808-Ljbffr