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CDW in Chicago seeks a Treasury Manager to lead daily cash management, forecasting, banking operations, and debt administration in a hybrid work model. You will partner with accounts payable/receivable, prepare cash forecasts, manage bank relationships, and guide transition initiatives like ERP changes, while developing the team and cross‑functional collaboration.
Strong analytical skills, communication with senior management, and experience with Treasury Systems are essential to improve
The Treasury Manager (hybrid) is responsible for managing treasury activities for the company, including daily cash management and forecasting, banking operations and cash forecasting, and debt administration, and is an integral contributor to Treasury's forward‑looking strategies.