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Sigil Partners is seeking a hands-on Treasury Manager to oversee daily corporate treasury operations for a complex multi-entity business in Denver. This role offers broad ownership of cash management, liquidity forecasting, and process improvement across multiple entities.
You will manage relationships with banks, execute payments, and drive treasury controls and automation initiatives, partnering with Accounting, FP&A, Tax, Legal, and Operations to optimize cash flow.
An established, multi-location organization is seeking a hands-on Treasury Manager to oversee daily corporate treasury operations for a complex, multi-entity business. This is an outstanding opportunity for a treasury professional who enjoys owning the entire cash management function while driving process improvements and operational efficiency.
This position is ideal for someone who thrives in a fast-paced environment, enjoys solving operational challenges, and wants broad ownership rather than being responsible for only one piece of the treasury function. The organization is also open to experienced Senior or Lead Treasury Analysts who are ready to take the next step into management.
As the organization's treasury leader, you'll oversee daily cash operations across multiple entities while ensuring sufficient liquidity to support business operations. You'll manage banking relationships, monitor cash activity, and play a key role in maintaining accurate cash forecasts for executive leadership.
This is a highly visible position with regular interaction with senior leadership and company ownership. You'll have the opportunity to influence treasury operations, improve processes, and help shape the future of the organization's treasury function while serving as the primary subject matter expert for corporate cash management.