Treasury Manager

The Top Gun Program - Cornerstone Caregiving

Waco, Northern (TX, KY)

Hybrid

USD 110,000 - 160,000

Full time

3 days ago
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Benefits offered by this job

Base salary
Unlimited PTO
Medical insurance
Dental insurance
Vision insurance

Job summary

Cornerstone Caregiving is seeking a Treasury Manager to own cash visibility, liquidity management, and banking operations across a 400+ location national platform. You will establish daily cash positioning, build a 13‑week cash flow forecast, and implement scalable treasury controls in a high-growth, PE-backed environment.

The role requires 5–8 years of treasury experience, strong Excel skills, and hands-on experience with banking compliance and ZBA structures.

Qualifications

  • 5–8 years of treasury or cash management experience in a multi-entity environment.
  • Direct ownership of daily cash positioning and a 13‑week cash flow model.
  • Hands-on experience with banking compliance and account structures (ZBA).
  • Ability to build treasury processes in a build-phase environment with limited infrastructure.
  • Strong Excel modeling and analytical skills.

Responsibilities

  • Own and maintain a rolling 13-week cash flow forecast.
  • Manage daily cash positioning across entities and bank accounts with same-day visibility.

Skills

Treasury experience
Cash forecasting
Banking operations
Financial modeling
Debt service tracking

Education

CTP certification

Tools

Sage Intacct
Excel (Advanced)

Job description

Job Title: Treasury Manager
Reports to: SVP Finance
Department: CFO Organization
Status: Exempt
Location: Corporate Office located in Waco, TX – Dallas/Austin-based preferred; hybrid arrangement available for strong candidates

Compensation & Benefits:

  • Base salary
  • Unlimited PTO
  • Fully paid Medical, Dental, and Vision Insurance

Cornerstone Caregiving is a nationally recognized leader in non‑medical home care, dedicated to helping seniors age with dignity and independence in the comfort of their own homes. Backed by Warburg Pincus, Cornerstone operates more than 400 locations across 40+ states and is one of the fastest‑growing caregiving platforms in the country. Our mission is to deliver the highest quality of compassionate care while maintaining the operational excellence that supports sustainable long‑term growth.

The Treasury Manager is Cornerstone’s dedicated owner of cash visibility, liquidity management, and banking operations across a 400+ location national platform. Reporting to the SVP Finance, this role fills a critical gap in the current finance organization — establishing a daily cash positioning function, building the 13‑week cash flow forecast from the ground up, and bringing structure to banking account administration and compliance across all operating entities. This is a build role in a high‑growth, PE‑backed environment. The right candidate is operationally rigorous, comfortable working with limited existing infrastructure, and able to establish processes and controls that scale. The Treasury Manager works closely with the finance organization, providing weekly liquidity visibility and supporting debt service and covenant reporting.

Day One Ownership
  • Daily cash positioning — manage cash across all operating entities and bank accounts, with same‑day visibility finance leadership.
  • 13‑week cash flow forecast — build, maintain, and present weekly to the finance leadership team.
  • Banking operations — positive pay, wire transfers, and account administration across all entities.
  • ZBA and account structure — design and implement zero‑balance account structures and banking rules.
  • Lockbox & payor setup — configure lockbox services, payor enrollment, and payment transformation workflows.
  • Debt service tracking — interest payments, principal schedules, and fee tracking in coordination.
Key Responsibilities:
1. Cash Flow & Liquidity Management
  • Own and maintain a rolling 13‑week cash flow forecast, updated weekly with actuals and revised projections.
  • Manage daily cash positioning across all bank accounts and operating entities; ensure same day visibility and flag liquidity concerns proactively.
  • Forecast and monitor inflows across payors, billing cycles, and collection timing; track outflows across payroll, AP, debt service, and operating costs.
  • Identify and upscale liquidity risks; provide scenario analysis to the finance leadership team, as needed.
  • Build variance analysis against prior forecast; drive continuous improvement in forecast accuracy over time.
2. Banking Operations & Account Administration
  • Serve as the day‑to‑day banking operations owner across all entities — wire transfers, positive pay, ACH setup, and account administration.
  • Design and implement zero‑balance account (ZBA) structures and banking rules across the entity portfolio.
  • Administer bank account openings, closings, user access, and authorized signer maintenance as the platform grows.
  • Configure lockbox services and payor enrollment; support payment transformation workflows in coordination with the billing and collections team.
  • Maintain banking compliance documentation; ensure account controls and access are audit ready at all times.
  • Track interest payments, principal schedules, and fee obligations across all debt instruments.
  • Maintain a debt service calendar and ensure timely remittance.
  • Support covenant compliance reporting by providing accurate, timely cash and liquidity data for sponsor and lender packages.
  • Flag upcoming covenant tests and reporting deadlines; assist in preparing the cash and liquidity sections of lender deliverables.
4. Budgeting, Forecasting & P&L Support
  • Lead the annual cash flow budgeting process in coordination with FP&A and the business leaders.
  • Support quarterly re‑forecasting cycles with updated cash flow assumptions, inflow/outflow timing, and working capital inputs.
  • Partner with FP&A on P&L analytics that intersect with cash timing — AR velocity, billing cycle performance, and payroll timing impacts.
  • Provide cash flow commentary for board and investor reporting packages as requested.
5. Process Improvement & Systems
  • Build and document standardized treasury processes and controls from the ground up; establish the operating cadence for the treasury function.
  • Evaluate treasury management system options as the organization scales; make recommendations on tooling.
  • Leverage Sage Intacct for cash reporting and reconciliation; integrate banking data feeds where available.
  • Partner with the data infrastructure team on cash reporting automation as the Snowflake stack is built out.
Required
  • 5–8 years of treasury or cash management experience in a multi‑entity or multi‑site environment.
  • Direct ownership of daily cash positioning and forecasting — has built or managed a 13‑week cash flow model.
  • Hands‑on experience with banking compliance and account structures, including ZBA setup, banking rules, and controls frameworks.
  • Demonstrated ability to build treasury processes and controls in an environment with limited existing infrastructure.
  • Strong analytical and modeling skills; comfortable working in Excel at an advanced level.
Preferred
  • Healthcare, home services, or high‑transaction‑volume industry background.
  • CTP (Certified Treasury Professional) certification.
  • Experience with Sage Intacct or comparable mid‑market ERP; treasury management system experience a plus.
  • Prior experience in a PE‑backed or high‑growth operating company; understands sponsor reporting cadence and lender deliverables.
  • Familiarity with debt service tracking, covenant compliance support, and lender package preparation.
  • Comfort operating with ambiguity in a build‑phase environment where processes and systems are still being established.
Physical Requirements:

The physical demands described here are representative of those an employee encounters while performing the essential functions of this job. Reasonable accommodations can be made to enable individuals with disabilities to perform the essential functions. This position may involve any or all of the following (not a complete list): sitting and standing for long periods of time; bending and stooping required; lifting up to 10 lbs. regularly and up to 50+ lbs. may be required; using a computer for extended periods: typing, staring at a bright monitor or TV screen; using fingers, wrists, and arms; stress on back may occur.

This job description is not intended to be an exhaustive list of all responsibilities, duties, and skills required for the position but rather describes the general nature and level of work being performed. The requirements listed above are representative of the minimum levels of knowledge, skills and ability necessary to perform the job. To perform this job successfully, the employee must possess the abilities or aptitudes to perform each duty proficiently.

This job description also reflects the Company’s assessment of the essential functions of the position. The Company will make reasonable job‑related accommodations to allow qualified applicants and employees with disabilities to perform those essential functions. The Company reserves the right to assign different or additional duties and responsibilities to this position or to reassign duties and responsibilities to other positions. Continued employment remains on an “at‑will” basis.

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