Treasury Manager

HomeTown Services

Houston (TX)

On-site

USD 110,000 - 150,000

Full time

3 days ago
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Benefits offered by this job

Medical Insurance
401(k) Plan with company match
Paid Holidays
PTO

Job summary

HomeTown Services seeks a Treasury Manager to oversee daily cash flow, liquidity, and banking relationships across multiple project sites. The role supports project financing, vendor payments, and risk management to ensure strong liquidity and regulatory compliance.

The ideal candidate has 5+ years in treasury or financial management within construction or field services, with proficiency in treasury systems and Excel.

Qualifications

  • The candidate will oversee daily cash flow, liquidity, and banking relationships.
  • Experience in construction, contracting, or field services environments is preferred.
  • Strong understanding of cash flow planning in project-based industries.

Responsibilities

  • Monitor and forecast cash flows across multiple job sites and operating entities.
  • Manage banking relationships and credit facilities for construction projects.
  • Oversee vendor and project payment processes, retainage, and payment terms.
  • Maintain treasury operations, internal controls, and regulatory compliance.
  • Assess interest rate risk and assist with hedging and insurance coordination.
  • Prepare liquidity reports, cash position forecasts, and capital allocation insights.

Skills

Cash flow forecasting
Financial risk management
Communication skills
Analytical skills
Project-based financial management

Education

Bachelor's degree in Finance, Accounting, Economics, or related field
MBA, CPA, or CTP preferred

Tools

Treasury management systems
Microsoft Excel

Job description

Summary
The Treasury Manager is responsible for overseeing the organization’s daily cash flow, managing banking relationships, ensuring adequate liquidity, mitigating financial risks, and supporting corporate finance initiatives. This role is critical in supporting project-based cash flow management, vendor payment cycles, equipment financing, and risk mitigation. The Treasury Manager will ensure that the company maintains strong liquidity, optimises its banking relationships, and adheres to financial compliance standards across all projects and locations. This role plays a key part in managing investments, debt, and financial compliance, while ensuring the company meets its short-term and long-term financial obligations.
Summary
The Treasury Manager is responsible for overseeing the organization’s daily cash flow, managing banking relationships, ensuring adequate liquidity, mitigating financial risks, and supporting corporate finance initiatives. This role is critical in supporting project-based cash flow management, vendor payment cycles, equipment financing, and risk mitigation. The Treasury Manager will ensure that the company maintains strong liquidity, optimises its banking relationships, and adheres to financial compliance standards across all projects and locations. This role plays a key part in managing investments, debt, and financial compliance, while ensuring the company meets its short-term and long-term financial obligations.
Essential Functions & Responsibilities
Cash Flow Management:
  • Monitor and forecast daily, weekly, and long-term cash flows across multiple job sites and operating entities.
  • Ensure adequate liquidity to support payroll, subcontractor payments, equipment purchases, and project mobilisation.
Banking & Financing
  • Manage relationships with banks, bonding companies, and equipment finance providers.
  • Coordinate credit facilities, letters of credit, and bonding requirements for construction projects.
  • Oversee loan compliance and debt service obligations.
Vendor & Project Payment Oversight
  • Align treasury operations with project billing cycles, retainage schedules, and payment terms with subcontractors and suppliers.
  • Support the project management and procurement teams in ensuring timely vendor payments without compromising cash reserves.
Treasury Operations
  • Manage all company bank accounts and banking platforms.
  • Recommend improvements to treasury systems, policies, and procedures to increase operational efficiency.
  • Maintain internal controls for treasury transactions and ensure compliance with regulatory requirements.
Risk Management
  • Monitor interest rate exposure and assess hedging options if necessary.
  • Assist with insurance renewals and coordination with risk management on bonding and liability issues.
Reporting & Analysis
  • Prepare regular reports on cash positions, forecasts, and liquidity metrics.
  • Provide actionable insights to senior management regarding capital allocation, investment opportunities, or financing needs.
Requirements
  • Bachelor's degree in Finance, Accounting, Economics, or related field; MBA, CPA, or CTP preferred.
  • 5+ years of experience in treasury or financial management, ideally in a construction, contracting, or field services environment (HVAC, electrical, plumbing, or similar).
  • Strong knowledge of cash flow planning in project-based industries.
  • Familiarity with construction billing, retainage, and payment applications.
  • Proficiency with treasury management systems and Microsoft Excel.
  • Excellent organisational, analytical, and communication skills.
Benefits
We invest in the whole you — your health, your family, and your future. When you join us, you're not just getting a job — you're gaining a benefits package designed to support you at every stage of life.
  • Medical Insurance: Comprehensive medical coverage with four plan options to fit every need and budget, including an HSA-eligible high-deductible plan and an FSA.
  • Dental Insurance: Dental coverage with low weekly premiums.
  • Vision Insurance: Vision coverage with low weekly premiums.
  • Basic Life and AD'DD Insurance: Company-paid basic Life and AD'DD insurance.
  • Long-Term Disability: Company-paid Basic Long-Term Disability coverage.
  • Short-Term Disability: Optional Voluntary Short-Term Disability coverage.
  • Additional Life Insurance: Optional additional life insurance coverage available.
  • Retirement Plan: Traditional 401(k) and Roth 401(k) options with company match!
  • Supplemental Health Plans: Including Accident, Critical Illness, and Hospital Indemnity Insurance, plus disability resource services, travel and beneficiary support services, pet health insurance, and PerkSpot — an exclusive employee discount programme.
  • PTO and Paid Holidays Available
The position description is intended to be dynamic and subject to change. Position requirements and essential functions may be altered from time to time based upon the needs of the organisation and department. This position may be required to execute special projects or other related duties on occasion.
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