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Treasury Operations Manager Jobs in Boston, MA (NOW HIRING)

Treasury Analyst Front Office Location: Canton, Massachusetts (Hybrid) In this position, you'll be ... and operational issues. * Strong ownership, accountability, and risk management practices.

Support global cash management operations in collaboration with the Treasury team for MFS and its subsidiaries: * Determining the daily cash availability and ascertaining if it meets requirements; if ...

This role reports to the Global Treasury Director. Responsibilities and Duties ... Cash and Banking Operations & Reporting * Perform daily cash reconciliations and manage liquidity ...

This role reports to the Global Treasury Director. Responsibilities and Duties ... Cash and Banking Operations & Reporting * Perform daily cash reconciliations and manage liquidity ...

Advise clients on treasury transformation, treasury technology, and risk management priorities to improve operational efficiency and support business performance. * Manage end-to-end delivery for SAP ...

Accounting Manager - Treasury

Boston, MA · Hybrid

$108K - $162K/yr

Vertex Pharmaceuticals is seeking a highly motivated Accounting Manager - Treasury & Insurance to ... Work closely with the Insurance team to understand operational goals and provide guidance on ...

The Treasury Analyst provides key operational support to vital Treasury and Profitability functions ... Prepare materials for Asset/Liability Management Committee, Deposit Pricing Committee, and other ...

Treasury Analyst

Hudson, MA · On-site

$70K - $95K/yr

The Treasury Analyst provides key operational support to vital Treasury and Profitability functions ... Prepare materials for Asset/Liability Management Committee, Deposit Pricing Committee, and other ...

Treasury Analyst

Boston, MA · On-site

$80K - $110K/yr

Hercules and its wholly owned subsidiary, Hercules Adviser, manage over $5.7 billion of assets and aims to continue to expand and grow its operations. The Treasury Analyst will play a key role in day ...

Treasury Analyst

Boston, MA · On-site

$80K - $110K/yr

Hercules and its wholly owned subsidiary, Hercules Adviser, manage over $5.7 billion of assets and aims to continue to expand and grow its operations. The Treasury Analyst will play a key role in day ...

Showing results 41-60

Treasury Operations Manager information

See Boston, MA salary details

$53.8K

$114.8K

$163.5K

How much do treasury operations manager jobs pay per year?

As of Sep 6, 2026, the average yearly pay for treasury operations manager in Boston, MA is $114,796.00, according to ZipRecruiter salary data. Most workers in this role earn between $94,500.00 and $132,000.00 per year, depending on experience, location, and employer.

What does a treasury operations manager do?

A Treasury Operations Manager oversees an organization’s daily cash flow, banking, and liquidity management activities. They are responsible for ensuring that funds are available to meet financial obligations, managing banking relationships, processing payments, and monitoring compliance with internal controls and regulations. Additionally, they may work on forecasting cash needs, optimizing banking structures, and implementing treasury-related technologies. Their role is critical in minimizing financial risk and supporting efficient business operations.

What are the key skills and qualifications needed to thrive as a treasury operations manager?

To thrive as a Treasury Operations Manager, you need expertise in cash management, financial analysis, and a solid understanding of banking operations, typically supported by a degree in finance or accounting. Familiarity with treasury management systems (TMS), ERP platforms like SAP, and certifications such as CTP (Certified Treasury Professional) are commonly required. Strong analytical thinking, attention to detail, and effective communication are crucial soft skills for this role. These capabilities ensure efficient management of an organization’s liquidity, compliance, and risk, which are vital to maintaining financial stability.

How does a treasury operations manager typically collaborate with other departments within an organization?

A Treasury Operations Manager frequently works with departments such as accounting, finance, and risk management to ensure smooth cash flow, accurate financial reporting, and effective risk mitigation. They coordinate with accounts payable and receivable teams to monitor daily transactions and resolve discrepancies, as well as partner with IT to implement and maintain treasury management systems. Strong cross-functional communication is essential for timely decision-making and for developing strategies to optimize liquidity and manage financial risks. This collaboration is central to maintaining organizational financial health and efficiency.

What are the most commonly searched types of Treasury Operations jobs in Boston, MA?

The most popular types of Treasury Operations jobs in Boston, MA are:

What are popular job titles related to Treasury Operations Manager jobs in Boston, MA?

For Treasury Operations Manager jobs in Boston, MA, the most frequently searched job titles are:

What job categories do people searching Treasury Operations Manager jobs in Boston, MA look for?

The top searched job categories for Treasury Operations Manager jobs in Boston, MA are:

What cities near Boston, MA are hiring for Treasury Operations Manager jobs?

Cities near Boston, MA with the most Treasury Operations Manager job openings:

Infographic showing various Treasury Operations Manager job openings in Boston, MA as of August 2026, with employment types broken down into 84% Full Time, 12% Part Time, 1% Temporary, and 3% Contract. Highlights an 94% Physical, 2% Hybrid, and 4% Remote job distribution, with an average salary of $114,460 per year, or $55 per hour.

Director, Internal Audit - Finance, Treasury & Capital

First Technology Federal Credit Union

Chelmsford, MA • On-site

Full-time

Medical, Dental, Vision, Retirement, PTO

Re-posted 3 days ago


Job description

Description

The Director, Internal Audit - Finance, Treasury & Capital is responsible for leading a portfolio of risk-based assurance and advisory activities focused on finance, treasury, capital planning, accounting, and financial risk management. This role serves as an Engagement Owner and trusted advisor to executive leadership, providing independent assessments of governance, risk management, internal controls, and financial integrity across the organization.

The Director oversees audit planning, execution, reporting, issue validation, and regulatory engagement activities while ensuring adherence to Internal Audit standards and methodologies. This role plays a key leadership role in evaluating financial, treasury, liquidity, capital, and investment-related risks, while providing insights that strengthen the organization's control environment and support sound financial management practices.

Here’s what you can expect from the job and what you need to be successful:

What You’ll Do:

  • Lead a portfolio of risk-based finance, treasury, and capital audit engagements, ensuring timely execution, consistent methodology application, and high-quality deliverables. 
  • Oversee audit planning, risk assessments, scoping decisions, testing strategies, audit conclusions, and reporting activities across assigned areas. 
  • Review and approve audit findings, issue severity ratings, remediation plans, and issue validation activities.
  • Contribute to development and execution of the annual audit plan through participation in audit universe maintenance, risk assessments, and audit coverage planning. 
  • Provide independent assessments of governance, risk management, and internal controls related to:
    • Financial reporting and accounting processes
    • General ledger and financial close activities
    • Management reporting
    • Budgeting and forecasting governance
    • Allowance and reserve methodologies
    • Treasury operations
    • Liquidity risk management
    • Interest rate risk management (IRR)
    • Investment activities
    • Capital planning and stress testing frameworks
  • Evaluate the design and effectiveness of controls that support financial integrity, valuation, regulatory reporting, governance, and management decision-making.
  • Lead audits of reconciliation processes, investment accounting, funds transfer activities, cash management practices, liquidity contingency planning, ALM processes, and model governance activities where applicable.
  • Assess management assumptions, forecasts, key judgments, and financial risk management practices for reasonableness, governance, and control effectiveness.
  • Identify emerging risks, control weaknesses, and opportunities to improve financial, treasury, liquidity, and capital risk management practices.
  • Develop and maintain strong relationships with executive leadership, including the CFO, Controller, Treasurer, FP&A leaders, Risk Management, and Finance Committees while maintaining audit independence and objectivity.
  • Represent Internal Audit in governance forums, committees, working groups, and strategic initiatives as appropriate.
  • Lead interactions with regulators, external auditors, and other stakeholders related to assigned audit activities.
  • Monitor regulatory developments, accounting changes, industry trends, and emerging risks to ensure appropriate audit coverage and risk insight.
  • Drive continuous improvement of audit methodologies, reporting capabilities, audit quality, and team effectiveness.
  • Lead issue management activities, including remediation validation and assessment of sustainable corrective actions. 
  • Develop and mentor audit professionals through coaching, performance management, succession planning, and technical capability development.

Essential Skills:

  • Required Experience: 8+ years of internal audit standards, methodologies, and professional practices.
  • 4+ years of experience leading a diverse team including hiring, coaching and performance management.
  • Strong understanding of:
    • Financial reporting and accounting controls
    • General ledger and close processes
    • Management reporting
    • Budgeting and forecasting governance
    • Allowance and reserve methodologies
    • Treasury operations
    • Liquidity risk management
    • Interest rate risk management
    • Investment activities
    • Capital planning and stress testing
  • Strong understanding of financial statement risk, accounting judgments, model governance, assumptions, and estimation processes.
  • Experience auditing reconciliation processes, liquidity contingency plans, ALM functions, treasury operations, funds transfer activities, and investment accounting.
  • Ability to assess financial controls and identify downstream operational, financial, and regulatory risks.
  • Strong executive presence and ability to engage credibly with CFOs, Controllers, Treasurers, FP&A leaders, Risk Committees, and executive leadership.
  • Proven leadership experience managing complex audit portfolios and developing high-performing teams.
  • Exceptional analytical, communication, stakeholder management, and problem-solving skills.
  • Required Education: Bachelor's degree in field relevant to role (or 4 additional years of relevant experience in lieu of a degree), advanced degree preferred.
  • Certification/License: CPA, CIA, CFA, CISA, FRM, or CRMA Preferred.

Location: Hillsboro Corporate Office | Hillsboro OR 97124 OR Marlborough Corporate Office | Marlborough, MA OR Chelmsford Corporate Office | Chelmsford, MA

Target Compensation: $164,000 - $197,000 base pay + Annual Bonus

#LI-MG1 #LI-HYBRID


Who We Are:
What makes First Tech different? Click here to learn more!
Every great journey begins with a bold idea—and ours is no different. First Tech and DCU were founded on the belief that financial solutions should put people first. That belief has fueled decades of innovation and service, rooted in the tech sector and expanding to support members from all walks of life.
Employees are eligible for:
• Traditional medical, dental, and vision coverage
• Generous 401(k) match
• Paid Time Off: You'll accrue up to 15 days in your first year. In addition, you'll receive 40 hours of sick time and 3 personal days, which refresh annually
• Paid federal holidays
• Special employee pricing on lending products such as mortgage, auto, and personal loans (eligibility subject to standard account requirements and underwriting criteria)
Employment Statements:
First Tech is an equal opportunity employer, and we value diversity, inclusion, and equity at our company. We evaluate qualified applicants without regard to race, color, religion, age, sex, sexual orientation, gender identity, national origin, disability, veteran status, and other legally protected characteristics.
If you're applying for a job and need a reasonable accommodation for any part of the employment process, please send an email to recruiters@firsttechfed.com and let us know the nature of your request and contact information. Please note that only those inquiries concerning a request for reasonable accommodation will be responded to from this email address.
First Tech is not currently offering Visa transfer/sponsorship for this position.