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TREW LLC is seeking an experienced Treasury Manager to oversee cash management, liquidity planning, banking relationships, and financial risk activities. The role focuses on ensuring the company maintains adequate liquidity, optimizes cash usage, manages debt and investment activity, and strengthens internal controls across treasury operations.
You will manage daily cash positioning, run 13‑week cash forecasts, partner with FP&A and Accounting on capital structure, and lead hedging programs,
We are seeking an experienced Treasury Manager to oversee the organization's cash management, liquidity planning, banking relationships, and financial risk activities. This role is responsible for ensuring the company maintains adequate liquidity, optimizes the use of cash, manages debt and investment activity, and strengthens internal controls across treasury operations. The ideal candidate combines strong analytical skills with hands‑on leadership experience in corporate treasury.
This is primarily a desk-based role, requiring extended periods of sitting and computer use. While the role is mainly desk-based, mobility within the office, manufacturing facility and customer sites may be required for meetings and interactions with colleagues.
Prolonged periods sitting at a desk and working on a computer. Must be able to lift up to 15 pounds at times. Ability to traverse office, manufacturing facility, and customer sites.
Trew EEO Statement Trew and its companies are an equal opportunity employer. Applicants will be considered for employment without regard to age, race, creed, color, national origin, ancestry, marital status, affectional or sexual orientation, gender identity or expression, disability, nationality, sex, or veteran status.
Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities and activities may change at any time with or without notice.