Enable job alerts via email!

Manager of Treasury

Northern Impact

Chicago (IL)

Hybrid

USD 80,000 - 140,000

Full time

30+ days ago

Boost your interview chances

Create a job specific, tailored resume for higher success rate.

Job summary

An established industry player is on the lookout for a Treasury Manager to join their dynamic Corporate Treasury team. This pivotal role involves managing liquidity, overseeing cash management, and implementing innovative treasury solutions that drive financial efficiency. The ideal candidate will have a strong background in financial markets, exceptional communication skills, and a proactive approach to challenges. This is a fantastic opportunity to make a significant impact on the company’s financial strategy while enjoying a hybrid work schedule that promotes work-life balance. If you thrive in a fast-paced environment and are ready to elevate your career in corporate finance, this is the role for you.

Qualifications

  • 7-10 years of experience in Treasury roles, preferably in a Fortune 250 organization.
  • Proven experience in financial markets and understanding financial regulations.

Responsibilities

  • Manage corporate treasury liquidity and forecast short-term and medium-term needs.
  • Drive strategy for banking services and evaluate treasury technology solutions.

Skills

Financial Markets Knowledge
Cash Management Practices
Risk Management Techniques
Data-Driven Decision Making
Communication Skills

Education

Bachelor's degree in Accounting, Finance, or Economics
MBA

Tools

Microsoft Excel
Microsoft PowerPoint
Kyriba

Job description

Overview

One of America's largest retailers is seeking a Manager of Treasury to join their growing company!

The Treasury Manager will play a pivotal role within their Corporate Treasury team, driving financial efficiency and strategic growth. This dynamic position offers a blend of hands-on management and strategic planning, overseeing critical areas such as cash management, bank account administration, and key banking relationships.

Reporting directly to the Vice President of Treasury, the ideal candidate will be instrumental in evolving our operations towards best-in-class practices. They will spearhead initiatives in cash management and forecasting, while implementing cutting-edge treasury solutions to optimize our financial operations.

We're seeking a proactive leader with exceptional communication skills, capable of fostering strong relationships across all levels of the organization. The successful candidate will provide crucial functional guidance and collaborate seamlessly with diverse teams to drive financial success. This role offers an exciting opportunity to make a significant impact on our financial strategy and contribute to the company's overall growth and stability.

If you're ready to take on a challenging and rewarding position in corporate finance, we want to hear from you.

Note: Candidates based in Chicago will have the option to work from either Chicago or Lincolnshire headquarters, with a hybrid work schedule of three days per week in the office.

Key Responsibilities:

  • Manage corporate treasury liquidity and forecast short-term and medium-term liquidity needs.
  • Conduct treasury activities including investment management, borrowing oversight, and corporate risk management.
  • Drive strategy for banking services and evaluate/implement treasury technology solutions.
  • Develop and maintain accurate financial models encompassing cash flow projections, and interest income & expenses.
  • Implement the investment strategy with oversight, management reporting, return metrics, and risk analysis.
  • Assist with compliance regarding debt covenants, intercompany matters, cash and investments, and banking relationships.
  • Regularly assess, recommend, and implement global treasury processes to enhance departmental efficiency.
  • Create and provide insightful reporting metrics and analysis for treasury activities related to liquidity and banking fees.

Key Year One Objectives:

  • Standardize and refine the daily cash management processes and procedures for improved efficiency.
  • Enhance and calibrate cash forecasting models for greater accuracy and reliability.
  • Standardize reporting formats and presentations for the management team to promote clear communication.

Key Selection Criteria:

  • Proven experience in financial markets and understanding applicable financial regulations related to corporate treasury.
  • In-depth knowledge of cash management practices, banking operations, and treasury controls.
  • Solid understanding of risk management techniques and objectives.
  • Advanced proficiency in Microsoft Excel and PowerPoint; experience with Treasury Management Systems, preferably Kyriba.

Personal/Professional Attributes:

  • 7-10 years of relevant experience in Treasury roles, preferably within a Fortune 250 organization or automotive dealership.
  • A proactive approach to challenges and the ability to make data-driven decisions.
  • Enjoys a hands-on role and thrives in a lean, fast-paced environment.
  • Highly responsible and accountable for delivering quality work.
  • Exhibits confidence, asks insightful questions, and encourages innovative thinking.
  • Experience in dynamic change environments, showcasing adaptability and resilience.
  • Certification in financial or treasury management is preferred.

Education:

  • Bachelor's degree in Accounting, Finance, or Economics; an MBA is preferred for advanced insights and strategic understanding.
Get your free, confidential resume review.
or drag and drop a PDF, DOC, DOCX, ODT, or PAGES file up to 5MB.

Similar jobs

Tech Sales Executive - Launching New Product For CPA Firm

CyberCoders

Chicago

Remote

USD 100,000 - 250,000

6 days ago
Be an early applicant

Treasury Manager

StevenDouglas

Connecticut

Remote

USD 100,000 - 140,000

Today
Be an early applicant

Treasury Manager

Lawson Products, Inc.

Chicago

Remote

USD 80,000 - 120,000

30+ days ago

Business Tax Analyst- Work From Home - 3+ Yrs Paid Tax Experience Required

Intuit

Chicago

Remote

USD 70,000 - 190,000

8 days ago

Investment Manager / Treasury Manager (Remote)

GoDigital Media Group

Remote

USD 90,000 - 150,000

10 days ago

Full-Time Treasury Manager

Theoria Medical

Michigan

Remote

USD 100,000 - 130,000

10 days ago

Treasury Manager

Cogirusa

Chicago

On-site

USD 70,000 - 90,000

2 days ago
Be an early applicant

Treasury Manager

Hitchenor Wakeford Limited

Remote

USD 100,000 - 150,000

11 days ago

Senior Business Tax Analyst - Work From Home

Intuit

Chicago

Remote

USD 70,000 - 100,000

8 days ago