Corporate Treasurer

Trean Corporation

Wayzata (MN)

On-site

USD 120,000 - 190,000

Full time

14 days+
Application generator

Don’t send a generic resume — generate a resume and cover letter tailored to this exact role.

Get past ATS filters

Job summary

Trean Corporation in Minnesota seeks a Corporate Treasurer to lead treasury operations, oversee cash flow forecasting, liquidity management, investments, debt financing, and risk management to support growth and regulatory compliance.

You will manage banking relationships, direct financing activities, and collaborate with FP&A on strategic initiatives, while developing policies and controls for treasury functions.

Qualifications

  • Minimum of 10 years in finance/cash management in corporate finance or treasury.
  • Strong commercial acumen with experience in investments and debt facilities.
  • Extensive knowledge of debt markets and cash management.

Responsibilities

  • Oversee cash flow forecasting, borrowing needs and investment funds.
  • Ensure funds are available for operations and capital requirements.
  • Advise on liquidity for short- and long-range planning.
  • Manage banking relationships and treasury reporting.
  • Lead financing efforts with lenders for credit lines and refinancings.
  • Collaborate with internal stakeholders on capital structure and regulatory compliance.
  • Develop treasury policies and hedging to mitigate currency and interest-rate risk.

Skills

Treasury management
Cash forecasting
Debt facilities
Investment portfolio
Leadership coaching
Communication

Education

Bachelor’s degree in Accounting/Finance/Business/Public Administration
Master’s degree preferred

Job description

POSITION SUMMARY:

The Corporate Treasurer provides strategic leadership for the company's treasury operations, including cash management, liquidity planning, investments, debt financing, and financial risk management. This role ensures the organization maintains adequate funding to support operations and growth, oversees banking and lender relationships, leads financing transactions, and develops treasury strategies that enhance financial performance while maintaining strong controls and regulatory compliance.

KEY RESPONSIBILITIES AND ESSENTIAL FUNCTIONS:
  • Oversee forecast of cash flow positions, related borrowing needs and funds available for investment
  • Ensure sufficient funds are available to meet ongoing operational and capital investment requirements
  • Advise management on the liquidity aspects of its short- and long-range planning
  • Oversee the cash management team, which is responsible for managing excess operating cash and daily liquidity, tracking electronic cash receipts and cash disbursement processing and accounting, and managing daily cash position reconciliation and bank reporting
  • Enhance and manage the corporate direct cash flow forecasting process
  • Serve as the primary contact with investment advisors to ensure alignment with investment policy, recommend funding for enough cash flow, review monthly returns and assess manager performance
  • Review and analyze banking and investment management fees to identify cost reductions
  • Develop appropriate reporting and modelling capabilities required to support short-term and long-term liquidity forecasting needs through indirect modelling working closely with corporate FP&A
  • Maintain an efficient system of policies and procedures that impose an adequate level of control over treasury activities
  • Maintain and nurture all domestic and global banking relationships
  • Maintain strong communications with lenders and other financial service providers
  • Lead all financing efforts with lenders for Florida Crystals, FCI, ASR and other affiliates or subsidiaries as needed. Efforts will cover structuring and negotiating new credit lines, refinancings, project finance opportunities, capex lending and M&A financing.
  • Collaborate with internal stakeholders to maintain subsidiaries’ capital structures consistent with business, tax and regulatory requirements
  • Develop strategic finance initiatives (rating agency presentations, M&A and financing requirements, as applicable) in partnership with key stakeholders
  • Use hedging to mitigate financial risks related to the currency and interest rates on the company's cash flows and borrowings, as applicable
  • Complete special projects as assigned for presentation to senior management and external boards
  • Monitor quarterly and annual compliance with loan agreements
Requirements
MININUM QUALIFICATIONS:
  • This position requires a minimum of 10 years in finance and/or cash management functions in a corporate finance or treasury department or in banking operations.
  • Strong commercial acumen, with demonstrated ability in managing investments, debt facilities.
  • Extensive knowledge of debt markets – private and public, and cash management and investment portfolio experience.
  • Demonstrated ability to coach and develop leaders in a collaborative team environment.
  • Excellent verbal and written communication skills.
  • Ability to travel based on the needs of the role.
  • Bachelor’s degree required from an accredited college or university in Accounting, Finance,
  • Business or Public Administration or related field.
  • Master’s degree preferred.
CONFIDENTIAL INFORMATION:

All information (written, verbal, electronic, etc.) that an employee encounters while working at the Company is considered confidential. Reference corporate policies, guidelines and applicable laws.

WORKING CONDITIONS

This position is located in a professional office environment. This role routinely uses standard office equipment and requires the physical demands of a normal office position with some light lifting. This is a full-time position with benefits. This position may require longer hours and weekend work when necessary. Some travel may be required.

DISCLAIMER

This job description is not a contract of employment. Include at-will statement. It represents the minimum requirements of the job and includes the major responsibilities but not all responsibilities. Trean Corporation will change and update this job description, as necessary.

Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

Assistant Treasurer
Assistant Treasurer

Core Scientific, Inc • Miami (FL)

On-site
USD 150,000 - 230,000
Assistant Treasurer
Assistant Treasurer

Core Scientific • Miami (FL)

On-site
USD 120,000 - 190,000
Corporate Treasurer
Corporate Treasurer

PARADIGM HEALTHCARE • Houston (TX)

On-site
USD 120,000 - 210,000
Treasury Analyst
Treasury Analyst

Zobility • Tampa (FL)

On-site
USD 65,000 - 90,000
Senior Treasury Analyst
Senior Treasury Analyst

CRB • Kansas City (MO)

On-site
USD 110,000 - 150,000
Sr. Corporate Accountant
Sr. Corporate Accountant

Florida Crystals • West Palm Beach (FL)

Hybrid
USD 75,000 - 110,000
Sr. Corporate Accountant
Sr. Corporate Accountant

ASR Group • West Palm Beach (FL)

Hybrid
USD 70,000 - 100,000
Senior Accounting and Treasury Associate
Senior Accounting and Treasury Associate

Celltrion Branchburg • Branchburg Township (NJ)

Hybrid
USD 78,000 - 130,000
Paid time off
Medical, dental and vision insurance
Life insurance
+4
Treasury Analyst
Treasury Analyst

WhiteCap Search • Hackensack (NJ)

On-site
USD 70,000 - 90,000
Treasury Manager
Treasury Manager

Kls-Martin-Group • Jacksonville (FL)

On-site
USD 110,000 - 150,000