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Treasury Operations Manager Jobs in Frisco, TX (NOW HIRING)

Oversee operational management of escrow accounts, including deposits, withdrawals, reconciliations ... Execute treasury transactions, including wire transfers, ACH payments, and intercompany transfers ...

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 Analyst Support the Treasury Manager and Senior Treasury Analyst with daily treasury operations, including online banking administration, cash reporting, and operational mailbox management.

Treasury Analyst Support the Treasury Manager and Senior Treasury Analyst with daily treasury operations, including online banking administration, cash reporting, and operational mailbox management.

New

Treasury Supervisor

Denton, TX · On-site

$94 - $123/hr

In this role, you'll help safeguard the City's financial stability and ensure our treasury operations run smoothly every day. What You'll Do * Oversee daily cash management, banking activity ...

... treasury strategy for SEA, overseeing cash and liquidity management, FX and risk management ... S. and Canadian operations; ensure efficient pooling, investment decisions, and intercompany loan ...

... treasury strategy for SEA, overseeing cash and liquidity management, FX and risk management ... S. and Canadian operations; ensure efficient pooling, investment decisions, and intercompany loan ...

... cash management reporting and ad hoc analysis. * Prepare interest expense estimates to support forecasting and budgeting processes. * Provide support for day-to-day Treasury operations and ...

Advise clients on treasury operations, risk management, and technology practices to improve efficiency, strengthen controls, and support business objectives. * Build and maintain client relationships ...

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Treasury Operations Manager information

See Frisco, TX salary details

$46.3K

$98.9K

$140.9K

How much do treasury operations manager jobs pay per year?

As of Aug 29, 2026, the average yearly pay for treasury operations manager in Frisco, TX is $98,902.00, according to ZipRecruiter salary data. Most workers in this role earn between $81,400.00 and $113,700.00 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 job categories do people searching Treasury Operations Manager jobs in Frisco, TX look for?

The top searched job categories for Treasury Operations Manager jobs in Frisco, TX are:

What cities near Frisco, TX are hiring for Treasury Operations Manager jobs?

Cities near Frisco, TX with the most Treasury Operations Manager job openings:

Senior Treasury Analyst

Jsx

Dallas, TX • On-site

Full-time

Dental, Vision, Retirement, PTO

Posted 28 days ago


Job description

Job Description:

This Is How We Fly

At JSX, we're not just a lifestyle carrier - we're a lifestyle employer. Here, entrepreneurship meets determination, and excellence is our standard. We believe that the journey is just as important as the destination, and every day, we strive to create a Joyful, Simple eXperience for our Customers. Join us, and find your runway to growth, innovation, and success.

About the Role

The Senior Treasury Analyst is responsible for the day-to-day management of JSX's treasury operations, including banking relationships, cash positioning, liquidity forecasting, escrow administration, merchant services, and treasury controls. This role partners closely with Finance, Accounting, and external banking partners to ensure cash is managed efficiently, regulatory requirements are met, and treasury operations support the company's strategic objectives.

A Day in the Life

Every day is focused on protecting the company's financial position while ensuring efficient treasury operations and strong banking relationships. In this role, you'll:

  • Serve as the primary day-to-day contact for company banking partners and financial institutions.
  • Manage bank accounts, authorized signers, user access, and banking documentation.
  • Coordinate bank account openings, closures, maintenance, and other operational banking requests.
  • Manage daily cash positioning and liquidity across operating and escrow accounts.
  • Prepare short-term and rolling cash flow forecasts and liquidity reporting.
  • Monitor cash balances and proactively escalate liquidity risks or constraints to Finance leadership.
  • Oversee operational management of escrow accounts, including deposits, withdrawals, reconciliations, and reporting.
  • Manage lease-related cash obligations, including rent payments, security deposits, and restricted cash associated with operating and real estate leases.
  • Ensure DOT Part 380 escrow activity complies with all applicable regulatory requirements.
  • Maintain audit-ready documentation supporting escrow activity and restricted cash balances.
  • Manage relationships with merchant processors and payment service providers.
  • Monitor settlement timing, processing fees, chargebacks, and payment disputes in partnership with Accounting.
  • Support evaluations, implementations, or transitions of merchant processing platforms.
  • Execute treasury transactions, including wire transfers, ACH payments, and intercompany transfers within established approval limits.
  • Maintain treasury processes, internal controls, and supporting documentation.
  • Support internal and external audits by preparing treasury documentation and responding to audit requests.
  • Develop treasury dashboards and reporting for Finance leadership and executive management.
Why You'll Love This Role
  • Own Critical Financial Operations: Play a key role in managing the company's liquidity and financial stability.
  • Drive Business Decisions: Provide treasury insights and reporting that support executive decision-making.
  • Partner Across the Business: Collaborate with Finance, Accounting, Operations, and external financial partners.
  • Build Better Processes: Help strengthen treasury controls, reporting, and operational efficiency as JSX continues to grow.
  • Make a Measurable Impact: Your work directly supports cash management, compliance, and the company's long-term financial success.
What Makes a Successful Senior Treasury Analyst?

We're looking for someone who is:

  • Analytical: You use financial data to identify trends, risks, and opportunities.
  • Detail-Oriented: You consistently deliver accurate work while managing complex financial processes.
  • Organized: You effectively manage multiple priorities, deadlines, and regulatory requirements.
  • Collaborative: You build strong relationships with internal stakeholders and external financial partners.
  • Accountable: You take ownership of treasury operations and follow through on commitments.
  • Adaptable: You thrive in a fast-paced environment where priorities evolve.
  • Entrepreneurial: You continuously seek opportunities to improve processes, strengthen controls, and support the growth of the business.
Required Experience
  • Bachelor's degree in Finance, Accounting, Business, Economics, or a related field (or equivalent experience).
  • 3+ years of experience in corporate treasury, cash management, banking, accounting, or a related finance function.
  • Experience managing cash positioning, liquidity forecasting, banking relationships, or treasury operations.
  • Experience preparing financial reporting and supporting internal or external audits.
  • Strong proficiency with Microsoft Excel and financial reporting tools.
  • Excellent analytical, organizational, and problem-solving skills.
  • Strong written and verbal communication skills with the ability to collaborate across departments.
  • Ability to manage multiple priorities while maintaining accuracy and strong attention to detail.
Preferred Experience
  • Experience in the airline, travel, hospitality, or other highly regulated industries.
  • Experience with DOT Part 380 escrow requirements or similar regulatory environments.
  • Experience managing merchant processors, payment platforms, or treasury management systems.
  • Experience supporting lease accounting, restricted cash, or escrow administration.
  • Familiarity with ERP systems and treasury management software.
Benefits & Perks
  • Health Benefits: New Crewmembers become eligible for coverage on the 1st of the month following the start date, with medical plans beginning at just $110/month. 100% employer-paid dental & vision, plus up to $2,100 annually for HSA contribution. Short-term and long-term disability coverage at no cost.
  • Travel Benefits: Enjoy free non-revenue standby travel on JSX, plus deeply discounted standby travel on other major domestic and international airlines for you and your qualifying immediate family.
  • 401(k) Match: 50% of your first 8%.
  • Generous PTO: Take time to recharge with our flexible PTO plan.
Additional Information

May perform other responsibilities as assigned. Responsibilities and duties may change when circumstances dictate, including emergencies, changes in workload, rush jobs, technical developments, or evolving business needs.

JSX seeks to provide equality of opportunity in all aspects of employment and to ensure all personnel activities-including recruitment, selection, training, compensation, benefits, discipline, promotion, transfer, layoff, and termination-remain free of illegal discrimination and harassment based upon race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, disability status, or any other characteristic protected by law.

Ready to soar with us? Join JSX, where every day is a chance to be part of something eXtraordinary!

Compensation Range:

$78,900.0 - $96,700.0

JSX is an equal opportunity employer. We celebrate diversity and are committed to creating an inclusive environment for all employees.