Treasury Manager

Stable10

Austin (TX)

On-site

USD 110,000 - 150,000

Full time

13 hours ago
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Job summary

Stable10 is partnering with a high-growth, capital-intensive organisation seeking a Treasury Manager to join its expanding finance function in Austin, TX. The role focuses on owning cash activities across multiple entities, managing liquidity, forecasting cash requirements, and supporting payment activities while driving treasury transformation initiatives.

You will work closely with finance leadership to implement best practices, improve reporting, and develop scalable processes across the

Qualifications

  • 5+ years' experience within cash accounting, treasury operations, cash management or working capital management.
  • Strong understanding of liquidity management, bank account administration and cash forecasting.
  • Experience working with Treasury Management Systems (TMS).
  • Advanced Excel skills.
  • Experience operating within complex, multi-entity organisations.
  • Excellent communication and stakeholder management skills.

Responsibilities

  • Prepare and maintain weekly cash forecasts across multiple entities and bank accounts
  • Monitor daily cash positions and liquidity requirements
  • Support management of cash movements including wire payments, ACH transactions and intercompany transfers
  • Execute transactions through treasury management systems and banking platforms
  • Assist with cash pooling, liquidity management and funding activities
  • Prepare cash reporting and management information for leadership teams
  • Support treasury technology initiatives, automation projects and system enhancements
  • Contribute to treasury best practices development

Skills

Cash accounting
Treasury operations
Cash management
Liquidity management
Bank account administration
Cash forecasting
Advanced Excel
Analytical thinking
Stakeholder management

Education

Bachelor's degree in Accounting, Finance, Business Administration or related discipline

Tools

Treasury Management Systems (TMS)

Job description

Stable10 are partnered with a high-growth, capital-intensive organisation that is looking for a Treasury Manager to join its growing finance function.

This is an excellent opportunity for an experienced cash accounting, treasury operations or cash management professional looking to take ownership of critical cash activities within a complex multi-entity environment.

The organisation is continuing to scale significantly, creating an opportunity for an individual who can combine strong day-to-day cash management expertise with a passion for process improvement, reporting enhancement and treasury transformation initiatives.

Working closely with finance leadership, you will play a key role in managing liquidity, forecasting cash requirements, supporting payment activities and helping develop a best-in-class cash management function.

Key Responsibilities
  • Prepare and maintain weekly cash forecasts across multiple entities and bank accounts
  • Monitor daily cash positions and liquidity requirements
  • Support management of cash movements including wire payments, ACH transactions and intercompany transfers
  • Execute transactions through treasury management systems and banking platforms
  • Assist with cash pooling, liquidity management and funding activities
  • Prepare cash reporting and management information for leadership teams
  • Support the execution of structured cash distribution and funding processes
  • Perform bank reconciliations and cash account reconciliations
  • Investigate and resolve cash-related discrepancies and banking issues
  • Partner with finance, accounting and operations teams to improve processes and controls
  • Support treasury technology initiatives, automation projects and system enhancements
  • Contribute to the continued development of treasury and cash management best practices
Candidate Profile
  • 5+ years' experience within cash accounting, treasury operations, cash management or working capital management
  • Strong understanding of liquidity management, bank account administration and cash forecasting
  • Experience working with Treasury Management Systems (TMS)
  • Advanced Excel skills
  • Strong analytical and problem-solving capabilities
  • Experience operating within complex, multi-entity organisations
  • Ability to work effectively in a fast-paced and evolving environment
  • Excellent communication and stakeholder management skills
  • Bachelor's degree in Accounting, Finance, Business Administration or a related discipline

If you have a background in cash accounting, treasury operations, liquidity management or working capital, and are looking for an opportunity where you can genuinely influence how a function develops, we'd be keen to hear from you.

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