Treasury Manager

PSS Cross Country

Houston (TX)

On-site

USD 120,000 - 180,000

Full time

9 days ago
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Job summary

PSS Cross Country Infrastructure Solutions is seeking a hands-on Treasury Manager to lead the Company’s treasury function, reporting directly to the CFO. The role oversees cash forecasting, liquidity management, banking, debt administration, working capital analytics, and treasury process improvement.

A primary focus is establishing a reliable cash forecast and providing the CFO with clear visibility into liquidity, cash requirements, and funding needs.

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics or related field.
  • 5+ years in treasury, corporate finance, cash management, or related area.
  • Strong cash forecasting and liquidity management experience.
  • Experience with banking platforms and corporate credit facilities.
  • Strong financial modeling and analytical skills.
  • Advanced Excel and reporting tools proficiency.
  • Experience with treasury management systems or forecasting tools preferred.
  • M&A or acquisition integration experience is a plus.

Responsibilities

  • Own short- and medium-term cash forecasting, including the 13-week forecast.
  • Develop cash projections incorporating collections, payments, payroll, taxes, capex, debt service, and acquisitions.
  • Analyze forecast-to-actual variances and drivers.
  • Collaborate with AR, AP, Accounting, Finance, Commercial, and Operations to improve inputs.
  • Provide the CFO with visibility into liquidity, risks, and opportunities.
  • Support longer-term liquidity planning related to acquisitions and investments.
  • Manage daily cash positioning and banking relationships.
  • Administer banking platforms, accounts, and treasury controls.
  • Support debt administration and covenants reporting.
  • Lead treasury process improvements and automation.
  • Assist with treasury due diligence and integration of acquisitions.

Skills

Cash forecasting
Liquidity management
Treasury systems
Financial modeling
Excel
Banking platforms
M&A integration

Education

Bachelor’s degree in Finance, Accounting, Economics

Tools

Treasury management systems
ERP systems
BI platforms

Job description

Job Description:

PSS Cross Country Infrastructure Solutions is seeking a hands-on Treasury Manager to lead the Company’s treasury function, reporting directly to the CFO. This role will have primary responsibility for cash forecasting, liquidity management, banking, debt administration, working capital analytics, and treasury process improvement.

A critical priority for this position will be establishing and maintaining a reliable, forward-looking cash forecast across the organization and providing the CFO and executive leadership with clear visibility into liquidity, cash requirements, and funding needs.

The Treasury Manager will work closely with Finance, Accounting, Accounts Receivable, Accounts Payable, Commercial, and Operations to understand the key drivers of cash flow, improve forecasting accuracy, and identify opportunities to optimize working capital.

This is a highly visible role for someone who is analytical, hands-on, and comfortable operating in a fast-paced, acquisitive environment.

Key Responsibilities
Cash Forecasting & Liquidity
  • Own the Company’s short- and medium-term cash forecasting process, including the 13-week cash forecast.
  • Develop accurate cash projections incorporating customer collections, vendor payments, payroll, taxes, capital expenditures, debt service, acquisitions, and other significant cash requirements.
  • Analyze forecast-to-actual variances and identify the underlying drivers.
  • Partner with AR, AP, Accounting, Finance, Commercial, and Operations to improve the quality and timeliness of forecast inputs.
  • Provide the CFO with regular visibility into liquidity, cash requirements, risks, and opportunities.
  • Support longer-term liquidity planning related to acquisitions, capital investments, and other strategic initiatives.
Banking & Cash Management
  • Manage daily cash positioning and liquidity across the Company’s bank accounts.
  • Monitor bank balances, transfers, funding requirements, and cash concentration activities.
  • Administer banking platforms, account structures, authorized users, and treasury controls.
  • Support bank account openings, closings, and integration of acquired businesses.
  • Maintain strong working relationships with the Company’s banking partners.
  • Identify opportunities to optimize cash balances and minimize unnecessary borrowing or idle cash.
Debt & Capital Structure
  • Support administration of the Company’s credit facilities and other debt arrangements.
  • Maintain debt schedules and monitor interest payments, maturities, and other financing obligations.
  • Assist with borrowing-base reporting, covenant compliance, and lender reporting.
  • Support the CFO with liquidity and financing analysis related to acquisitions and other strategic investments.
Working Capital
  • Partner with AR and Commercial teams to monitor collections, customer payment trends, and DSO.
  • Partner with AP and Procurement to evaluate payment timing, vendor terms, and DPO.
  • Identify opportunities to improve cash conversion and overall working-capital performance.
  • Develop reporting that provides management with visibility into key working-capital trends.
Treasury Systems & Process Improvement
  • Drive improvements and automation within treasury and cash forecasting.
  • Support implementation and optimization of cash forecasting and treasury technology.
  • Reduce reliance on manual spreadsheets and improve data integration, controls, and reporting.
  • Develop treasury dashboards and KPIs for CFO and executive reporting.
  • Establish scalable treasury processes capable of supporting continued organic and acquisitive growth.
M&A & Integration
  • Support treasury due diligence for potential acquisitions.
  • Assist with acquisition funding, closing funds flows, and liquidity planning.
  • Lead treasury integration activities following acquisitions, including banking, cash management, forecasting, and account consolidation.
Qualifications
  • Bachelor’s degree in Finance, Accounting, Economics, or a related field.
  • 5+ years of progressive experience in treasury, corporate finance, cash management, or a related discipline.
  • Strong experience with cash forecasting and liquidity management.
  • Experience with commercial banking platforms and corporate credit facilities.
  • Strong financial modeling and analytical skills.
  • Advanced Excel skills and experience with financial systems and reporting tools.
  • Experience with treasury management systems, automated cash forecasting tools, or business intelligence platforms preferred.
  • M&A or acquisition-integration experience is a plus.
Company Statement:

PSS Industrial provides equal employment opportunities to all employees and applicants for employment and prohibits discrimination and harassment of any type without regard to race, color, religion, age, sex, national origin, disability status, genetics, protected veteran status, sexual orientation, gender identity or expression, or any other characteristics protected by federal, state, or local laws.

This policy applies to all terms and conditions of employment, including recruiting, hiring, placement, promotion, termination, layoff, recall, transfer, leaves of absence, compensation, and training.

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