Remote Treasury & Corporate Finance Manager

Mutual of Omaha Mortgage

United States

Remote

USD 120,000 - 150,000

Full time

9 days ago
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Benefits offered by this job

Vacation hours accrue
Paid Holidays
401K with generous match
Dental Coverage
Vision Coverage
Life Insurance
FSA
Pet Insurance
100% Remote

Job summary

Mutual of Omaha Mortgage is seeking a Manager-Corporate Finance & Treasury to lead treasury operations, liquidity management, and external debt covenant reporting. The role partners with Accounting, FP&A, and Capital Markets to strengthen financial controls and drive optimized liquidity across entities.

The ideal candidate has a strong treasury background, CPA/CTP/FPAC preferred, 7+ years of experience, and an accounting/finance degree, with mortgage-industry exposure preferred.

Qualifications

  • Strong background in treasury, accounting, and financial modeling/forecasting with analytical skills.

Responsibilities

  • Serve as primary day-to-day contact for banking platform partners.
  • Own the Company's bank account governance framework, including account establishment, maintenance, closure, and periodic review processes.
  • Maintain and administer bank account access governance, including user provisioning, periodic access certifications, role reviews, and segregation of duties requirements.
  • Oversee GNMA custodial account liquidity management and compliance with applicable operational and funding requirements.
  • Establish, document, and enforce treasury-related fraud prevention controls, including payment verification procedures, wire controls, approval workflows, and monitoring activities.
  • Design and maintain payment approval workflows and supporting documentation standards to ensure appropriate authorization, transparency, and auditability of cash movements.
  • Establish, maintain, and enhance treasury policies, procedures, and controls to safeguard Company assets and support regulatory, audit, and corporate governance requirements.
  • Develop treasury reporting, dashboards, and KPIs to support executive decision-making and liquidity oversight.
  • Review and enhance treasury processes, structures, and systems to drive simplification, standardization, automation, and scalability.
  • Partner with Accounting, FP&A, Capital Markets, Servicing, and Operations to ensure treasury activities are integrated into broader financial management processes.
  • Support treasury-related and FP&A-related technology initiatives, banking platform enhancements, and process improvement projects with research, planning, and implementation, as required.
  • Identify, recommend, and execute on improved budget and forecasting methods to optimize near and long-term liquidity and capital planning.
  • Assist business leaders with identifying and tracking key financial performance indicators and objectives.
  • Support senior management team and operations leadership with in-depth analysis of core and ad hoc capital management projects.

Skills

Treasury
Accounting
Financial modeling
MS Excel
Communication skills
7+ years experience
CPA/CTP/FPAC

Education

Bachelor's degree in Accounting, Finance, or related field

Tools

Accounting software
Financial management software

Job description

Mutual of Omaha Mortgage is seeking a Manager-Corporate Finance & Treasury to lead treasury operations, liquidity management, and external debt covenant reporting. The role partners with Accounting, FP&A, and Capital Markets to strengthen financial controls and drive optimized liquidity across entities.

The ideal candidate has a strong treasury background, CPA/CTP/FPAC preferred, 7+ years of experience, and an accounting/finance degree, with mortgage-industry exposure preferred.

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