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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.
TEAM is an E-Verify Participating Company
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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.
Must be able to sit or stand for prolonged periods of the workday.
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: