Treasury Manager/Plant Controller, Open to all MN Locations

Mt. Washington Pediatric Hospital

Park Rapids (MN)

Hybrid

USD 124,000 - 150,000

Full time

14 hours ago
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Benefits offered by this job

Medical benefits
PTO accrual
Dental
Vision
401(k) with company match
ESOP
Profit sharing potential

Job summary

TEAM Industries is actively seeking a Treasury Manager to lead company-wide treasury activities, including cash flow, liquidity, forecasting, and financial reporting. You will supervise AR/AP and payroll, partner with plant management and corporate leadership, and drive efficiency and strong financial performance.

The role is hybrid, requiring 2–3 days on-site at the plant weekly, with reporting to the Corporate Controller and a focus on internal controls and long-term strategic goals.

Qualifications

  • Bachelor’s degree in finance, accounting, or related field.
  • MBA, CPA or CFA preferred.
  • 6+ years of financial management experience, manufacturing multi‑plant environment preferred.
  • Public accounting experience preferred.

Responsibilities

  • Oversee treasury management, cash flow, liquidity, forecasting and financial reporting.
  • Supervise accounts receivable, accounts payable, and payroll management.
  • Coordinate internal controls and audit activities; interface with external auditors.
  • Prepare and present financial reports to plant management and corporate leadership.
  • Develop and implement treasury policies for cash flow, debt, liquidity and banking relationships.

Skills

Treasury management
Financial reporting
Budgeting
Analytical skills
Communication skills

Education

Bachelor’s degree in finance/Accounting
MBA / CPA / CFA preferred

Tools

Epicor
UKG
ERP systems

Job description

TEAM is an E-Verify Participating Company

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  • Base Pay $124,000.00 - $150,000.00 / Year
  • Employee Type Exempt - FT
  • Required Degree 4 Year Degree
  • Manage Others Yes
  • Email teamjobs@team-ind.com

TEAM Industries is seeking an experienced and strategic finance leader to serve as our next Treasury Manager. This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination. The position is also responsible for direct supervision of the accounts receivable & accounts payable functions, as well as payroll management. Reporting to the Corporate Controller, the Treasury Manager will partner closely with plant management and corporate leadership to support operational efficiency, strengthen financial performance, and help advance TEAM Industries' long-term strategic goals.

This is a hybrid location role, with 2-3 days working within the plant location each week

Supervisory Responsibilities: Supervises Payroll Manager and Centralized Accounting Staff. This includes staffing, training, planning, work direction, evaluating, and discipline of employees in accordance with company policies and applicable laws.

Purpose: The Plant Controller/Treasury Manager will be responsible for overseeing the financial operations of the plant, including budgeting, forecasting, and financial reporting. Manages the review of quarterly and annual payroll taxes and overall treasury management for the Company. This role will ensure the financial health of the plant while supporting strategic initiatives and operational efficiency.

  • Ensure a safe work environment for self and others. Follows all safety rules and regulations. Demonstrate commitment to safety program.
  • Implement and administer organizational treasury policies, governing cash flow and liquidity, debt and credit, interest rate or currency risk, investing and forecasting, and relationships with banks or other financial institutions.
  • Manage treasury strategies that ensure liquid funds are available for current capital needs and assist in implementation of long-term cash management or investment plans that both preserve capital and support strategic goals.
  • Manage the financial planning and analysis process for assigned plant location(s), including budgeting, forecasting, and variance analysis.
  • Responsible for internal auditing.
  • Conduct and/or mentor the review of quarterly and annual payroll taxes.
  • Prepare and present financial reports to plant management and corporate leadership.
  • Oversee the plant's accounting functions, ensuring compliance with GAAP and company policies.
  • Develop and implement internal controls to safeguard company assets and ensure accurate financial reporting.
  • Collaborate with operations management to identify cost‑saving opportunities and improve financial performance.
  • Lead the annual audit process and coordinate with external auditors.
  • Provide financial insights and recommendations to support strategic decision‑making.
  • Demonstrate leadership commitment to the TEAM Industries Quality Management system and coach subordinates on their impact on TEAM QMS objectives.
  • Promote a positive atmosphere. Actively support activities that promote the welfare and morale of TEAM employees.
  • Will be required to perform other duties as requested, directed or assigned.
Requirements
Education & Experience :
  • Bachelor’s degree in finance, Accounting, or a related field;
  • MBA, CPA, or CFA preferred
  • 6+ years of experience in financial management, preferably in a manufacturing multi‑plant environment
  • Public Accounting experience preferred
Job Knowledge, Skills and Abilities:
  • Strong knowledge of financial reporting, budgeting, and treasury management
  • Excellent analytical and problem‑solving skills
  • Strong communication and interpersonal skills
  • Proficient in financial software and ERP systems (Epicor and UKG preferred)
  • Experience with cost accounting and inventory management
  • Knowledge of manufacturing processes and industry standards
Training:
  • Reference OJT
Physical Demands

Must be able to sit or stand for prolonged periods of the workday.

See Functional Job Description for complete demands if applicable
Summary

TEAM Industries is seeking an experienced and strategic finance leader to serve as our next Treasury Manager. This role will oversee company-wide treasury management activities, including cash flow, liquidity, forecasting, financial reporting, payroll tax review, internal controls, and audit coordination. The position is also responsible for direct supervision of the accounts receivable & accounts payable functions, as well as payroll management. Reporting to the Corporate Controller, the Treasury Manager will partner closely with plant management and corporate leadership to support operational efficiency, strengthen financial performance, and help advance TEAM Industries' long‑term strategic goals.

This is a hybrid location role, with 2-3 days working within the plant location each week.

If offered a full‑time TEAM position, Benefits to be offered:

  • Medical - including HDHP
  • PTO Accrual
  • Dental
  • ESST/Sick up to 48 hours/yr
  • Vision
  • Sign‑on/Retention Bonus up to $2,000
  • Flex Plans
  • 8 Paid Holidays per year
  • HSA with Company Match
  • Potential Profit Sharing Bonus
  • 401(k) with up to 4% company match
  • Along with various voluntary plans that may be added
  • ESOP
  • Minnesota Paid Leave - Employer Paid Premiums,
  • Basic Life Ins & AD&D taxes may apply where required
  • Short and Long Term Disability
Additional Information
  • Overtime Overtime may be required per business needs
  • Work Schedule 8am - 4:30pm, M-F
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