Treasury Manager

Vitamix

Olmsted Township (OH)

Hybrid

USD 95,000 - 125,000

Full time

14 days+

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Job summary

Vitamix in Olmsted Township, Ohio, is looking for a Treasury Manager to oversee strategic capital structure and risk management. This role involves managing daily treasury duties, optimizing banking relationships, and executing investment strategies. The ideal candidate will have at least 5 years of corporate treasury experience and proficiency in tools such as Treasury Management Systems and ERP software. The position offers a hybrid work arrangement, emphasizing office responsibilities.

Qualifications

  • 5 years’ experience in corporate treasury, finance or capital markets.
  • Proven experience in international treasury operations and managing complex, multi‑currency environments.

Responsibilities

  • Directs global banking relationships and negotiates credit facilities.
  • Oversees internal control environment for payment systems.
  • Leads cash forecasting process and executes hedging strategies.

Skills

Problem Solving
Critical/Analytical Thinking
Communication
Relationship Building
Negotiation

Education

Bachelor’s degree in Finance, Accounting or related field
Certified Treasury Professional (CTP) or CPA

Tools

Excel
Treasury Management Systems
ERP systems (Oracle preferred)
Bloomberg

Job description

Job Summary: Vitamix is seeking a Treasury Manager who will be responsible for the strategic oversight and optimization of the company’s capital structure, liquidity, and financial risk management. This role manages day‑to‑day treasury duties, develops global banking and federal vendor relationships, directs company‑wide cash forecasting, and mitigates foreign currency exposure. The Manager designs and implements investment strategies, ensures compliance with covenants, and drives continuous improvement in inter‑company and internal banking processes.

Duties & Responsibilities
  • Directs global banking relationships, including the selection of banking partners, negotiation of credit facilities, and optimization of the global bank account footprint.
  • Architects bank account structures, including sophisticated liquidity management tools such as global cash pooling, multi‑currency sweep structures, and Treasury Management Systems.
  • Oversees the internal control environment for all domestic and international payment systems (Wire, ACH, Swift) to ensure the prevention of fraud and adherence to SOX/internal audit requirements.
  • Leads the global cash forecasting process, providing senior leadership with actionable insights into long‑term liquidity needs and working capital trends while owning day‑to‑day treasury duties.
  • Develops and executes hedging strategies to mitigate currency volatility and protect the company’s bottom line.
  • Optimizes investment portfolios, ensuring all corporate investments align with risk tolerance, liquidity requirements, and yield objectives.
  • Manages debt compliance, including line of credit reporting, covenant calculations, and coordination of bank financing arrangements.
  • Reviews and approves complex financial reporting, audit schedules, and regulatory filings for federal and state agencies.
  • Drives process automation and digital transformation within the treasury function, specifically focusing on ERP integration and bank fee reduction strategies.
  • Directs the corporate insurance program, ensuring adequate coverage levels and managing the annual renewal process in coordination with brokers.
Experience & Position Qualifications
  • 5 years’ experience in corporate treasury, finance or capital markets.
  • Proven experience in international treasury operations and managing complex, multi‑currency environments.
Education
  • Bachelor’s degree in Finance, Accounting or related field.
  • Certified Treasury Professional (CTP) or CPA is strongly preferred.
Technical Skills
  • Advanced proficiency in Excel (modeling) and experience with Treasury Management Systems.
  • Experience with ERP systems (Oracle preferred).
  • Familiarity with Bloomberg or other market data platforms.
  • Deep understanding of GAAP/IFRS as it relates to treasury and FX accounting.
  • Expertise in hedging instruments (forwards, options, swaps) and risk mitigation strategies.
Other Requirements
  • Problem Solving – Skilled at quickly diagnosing issues, identifying root causes, and developing and implementing effective solutions.
  • Critical/Analytical Thinking – Ability to draw valid inferences from available information, understand the implications of different interpretations, and apply knowledge to new situations.
  • Communication – Ability to express ideas clearly, confidently, and succinctly in both formal and informal settings.
  • Relationship Building – Ability to establish, maintain, and cultivate positive relationships with individuals, teams, and external stakeholders to foster a collaborative environment.
  • Influence – Ability to persuade and guide others towards a desired outcome.
  • Resourcefulness – Leverages available resources and contacts to overcome obstacles and achieve project goals efficiently.
  • Reliability/Dependability – Highly reliable, proactive self‑starter; can be counted on to complete assignments on time.
  • Negotiation – Develops and implements negotiation strategies that achieve desired results.
  • Initiative – Proactive problem solver, takes calculated risks, and seeks opportunities for improvement.
  • Strategic Thinking/Planning – Ability to analyze situations, anticipate challenges, develop innovative solutions, and align actions with long‑term goals.
  • Business Acumen – Demonstrated understanding and application of key business principles, including strategic thinking, financial literacy, and market awareness.
Physical Demands
  • Ability to sit up to 8 hours per day, with walking and standing required frequently.
  • Visual acuity is required to perform activities such as: preparing and analyzing data, viewing a computer terminal, reading documents, reports, and emails.
  • Repetitive hand movements for tasks like typing or assembly.

Travel Required: No travel required

# of Direct Reports: 0

Work Schedule/Shift: Monday-Friday 8:00AM-5:00PM

Work Arrangement: Hybrid

Work Environment: Office

Reasonable Accommodations Statement

To perform this job successfully, an individual must be able to perform each essential duty satisfactorily. Reasonable accommodations may be made to enable qualified individuals with disabilities to perform the essential functions.

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