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Treasury Manager Jobs in Paramus, NJ (NOW HIRING)

The Treasury Team at Gusto is responsible for cash/liquidity management and banking initiatives that support business partner imperatives towards operational effectiveness and performance towards ...

TREASURY ANALYST - BERGEN COUNTY NJ Perform all Treasury Cash Operations processes in a timely and ... Review all cash management activities; provide recommendations for process and systems improvements ...

This role will support domestic and international cash management, banking operations, treasury compliance, financial controls, and foreign exchange activities. In this role, you will assist with ...

This role will support domestic and international cash management, banking operations, treasury compliance, financial controls, and foreign exchange activities. In this role, you will assist with ...

The future of treasury management is here at Bank of America. Powered by people. Driven by Technology. * The Treasury Sales Officer (TSO) will be responsible for managing and aggressively growing ...

... Treasury Finance capabilities. Responsibilities * Tackle hard, ambiguous questions with rigor and independence, owning projects from problem definition to final recommendation. * Lead and manage ...

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Treasury Manager information

See Paramus, NJ salary details

$50.1K

$106.9K

$152.3K

How much do treasury manager jobs pay per year?

As of Sep 3, 2026, the average yearly pay for treasury manager in Paramus, NJ is $106,932.00, according to ZipRecruiter salary data. Most workers in this role earn between $88,000.00 and $122,900.00 per year, depending on experience, location, and employer.

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 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 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 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 most commonly searched types of Treasury jobs in Paramus, NJ?

The most popular types of Treasury jobs in Paramus, NJ are:

What are popular job titles related to Treasury Manager jobs in Paramus, NJ?

For Treasury Manager jobs in Paramus, NJ, the most frequently searched job titles are:

What job categories do people searching Treasury Manager jobs in Paramus, NJ look for?

The top searched job categories for Treasury Manager jobs in Paramus, NJ are:

What cities near Paramus, NJ are hiring for Treasury Manager jobs?

Cities near Paramus, NJ with the most Treasury Manager job openings:

Treasury Manager - Fanatics Markets

Fanatics Betting & Gaming

New York, NY • On-site

Full-time

Re-posted 25 days ago


Job description

About Us
Fanatics is building a leading global digital sports platform. We ignite the passions of global sports fans and maximize the presence and reach for our hundreds of sports partners globally by offering products and services across Fanatics Commerce, Fanatics Collectibles, and Fanatics Betting & Gaming, allowing sports fans to Buy, Collect, and Bet. Through the Fanatics platform, sports fans can buy licensed fan gear, jerseys, lifestyle and streetwear products, headwear, and hardgoods; collect physical and digital trading cards, sports memorabilia, and other digital assets; and bet as the company builds its Sportsbook and iGaming platform. Fanatics has an established database of over 100 million global sports fans; a global partner network with approximately 900 sports properties, including major national and international professional sports leagues, players associations, teams, colleges, college conferences and retail partners, 2,500 athletes and celebrities, and 200 exclusive athletes; and over 2,000 retail locations, including its Lids retail stores. Our more than 22,000 employees are committed to relentlessly enhancing the fan experience and delighting sports fans globally.
About the Team
Launched in 2021, Fanatics Betting and Gaming is the online and retail sports betting subsidiary of Fanatics, a global digital sports platform. The Fanatics Sportsbook is available to 95% of the addressable online sports bettor market in the U.S. Fanatics Casino is currently available online in Michigan, New Jersey, Pennsylvania and West Virginia. Fanatics Betting and Gaming operates twenty-two retail sports betting locations, including the only sportsbook inside an NFL stadium at Northwest Stadium. Fanatics Betting and Gaming is headquartered in New York with offices in Denver, Leeds and Dublin.
About the Role
We're hiring a Treasury Manager - Fanatics Markets to help stand up and run the cash, margin, and treasury functions behind Fanatics Markets regulated under CFTC and National Futures Association oversight. You'll own day-to-day controls that safeguard customer funds - segregation calculations, account reconciliations, and payments - and you'll be responsible for getting them right, on time, and in audit-ready shape as the business grows.
What You'll Do
  • Run daily treasury operations for our prediction markets platform, keeping everything aligned with CFTC and National Futures Association rules.
  • Perform and validate customer funds segregation and secured amount calculations to support daily regulatory requirements, reporting obligations, and filings
  • Reconcile bank, custodial, and clearing accounts; confirm collateral, restricted cash, and margin balances; and chase down and resolve any discrepancies before deadlines are hit.
  • Own daily cash positioning and outbound payments, including wires, customer withdrawals, and margin funding to exchanges and clearinghouses.
  • Keep treasury controls and documentation tight - segregation of duties, evidence retention, and clean, examiner-ready workpapers.
  • Work alongside Compliance, Accounting, Risk, and Operations on regulatory reporting, exams, and improvements to treasury processes and controls.
  • Support automation efforts by checking outputs, watching for exceptions, and shoring up the integrity of our operational controls.
What You Bring
  • A Bachelor's degree in Finance, Accounting, Economics, or a related field.
  • At least 5 years in treasury, regulatory finance, or cash management - ideally at a regulated firm like an FCM, broker-dealer, clearing firm, or bank.
  • Hands-on experience with customer funds segregation calculations and SIDR reporting.
  • A working knowledge of CFTC regulations and National Futures Association requirements.
  • A solid track record with reconciliations, cash positioning, and payment processing under tight deadlines.
  • The instinct to dig into discrepancies and resolve them quickly when the clock is running.
  • Comfort operating inside rigorous internal control frameworks and under regulatory scrutiny.
  • Sharp attention to detail, strong analytical chops, and a bias toward finding solutions.
Bonus Points For
  • Experience with Oracle Fusion, FIS Integrity, Claude AI, WinJammer
  • Exposure to prediction markets, event-contract products, or other CFTC-regulated derivatives.

Depending on the role, your interview and onboarding experience may include in-person components, such as onsite interviews or Launching into Better: LIVE-a multi-day cultural immersion in New York City for full-time, non-seasonal hires. These sessions are designed to build connection and bring our culture to life, though specific travel and participation requirements will be confirmed based on your role and location. Your recruiter will provide clear guidance at each stage of the process.
For information about our benefits, please visit https://benefitsatfanatics.com/
Ranges will change based on country and state of residence, which are reflected in Geographical Zones defined by Fanatics Betting and Gaming. The range incorporates all of our Geographical Compensation Zones and is subject to change as the Zone associated with the actual offer is confirmed. In addition to the base and bonus, full-time employment, and more. For information about our benefits, please visit https://benefitsatfanatics.com/
Salary Range
$120,000-$150,000 USD
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