Treasury Manager

Synergy Search

United States

On-site

USD 90,000 - 130,000

Full time

2 days ago
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Job summary

Synergy Search is seeking a Treasury Manager in the Dallas area to modernize and rebuild a growing treasury function. This hands-on role offers autonomy as the team stands up a new hub, reporting to senior treasury leadership.

The position requires strong Excel skills, experience with ACH and wire processing, and the ability to manage cash flow forecasting across multiple entities with high-volume accounts. You will oversee a treasury team and drive process improvements.

Qualifications

  • Strong Excel skills with automation
  • Experience with ACH files and high-volume cash collections
  • Experience with wire initiation, approvals, and banking platforms
  • Cash flow forecasting across multiple entities
  • Strong organizational skills and ability to implement new processes independently

Responsibilities

  • Manage daily cash positions and short/long-term cash flow forecasting
  • Oversee collections across 500+ bank accounts
  • Initiate and approve wire transfers, ACH activity, and internal fund movements
  • Support debt covenant compliance and lender reporting
  • Lead treasury process improvements and technology initiatives
  • Supervise and develop treasury team members

Skills

Cash forecasting
Excel automation
ACH processing
Wire transfers
Treasury management
Multientity operations

Tools

Banking platforms

Job description

A large, national, multi-entity operating company is seeking a Treasury Manager to help modernize and rebuild a growing treasury function. This is a hands-on, high-volume role with real autonomy to improve process, reporting directly to senior treasury leadership as the team stands up a new hub in the Dallas area.

What You'll Do
  • Manage daily cash positions and short and long term cash flow forecasting
  • Oversee collection processes across a very high volume of bank accounts (500 plus)
  • Initiate and approve wire transfers, ACH activity, and internal fund movements
  • Support debt covenant compliance and lender reporting
  • Help lead treasury process improvement and technology initiatives
  • Supervise and develop treasury team members
What You'll Need
  • Strong Excel skills, including building and automating spreadsheets
  • Experience with ACH files and high volume cash collections
  • Experience with wire initiation, approval controls, and banking platforms
  • Cash flow forecasting experience, ideally across multiple entities
  • Strong organizational skills and the ability to retain and run with new processes independently
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