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hireneXus is seeking a Treasury Manager to oversee daily treasury operations, liquidity management, and cash forecasting. The role partners with FP&A, Accounting, and Accounts Payable to improve cash visibility and forecasting accuracy, while supervising one Treasury Analyst.
Remote work is available 100% for this position, with the ability to work from anywhere in the United States. The successful candidate will bring 5+ years in treasury, strong Excel skills, and experience with Microsoft
The Treasury Manager is responsible for overseeing the organization's daily treasury operations, liquidity management, and cash forecasting activities. Reporting to the Director of Treasury, this role ensures sufficient liquidity to support business operations while providing oversight of cash management processes, banking activities, and payment execution. The Treasury Manager partners closely with FP&A, Accounting, and Accounts Payable to improve cash visibility, enhance forecasting accuracy, and drive operational efficiency. This position supervises one Treasury Analyst.
Candidates will have the opportunity to work 100% remote