Treasury Manager @ Technology Company

Coda Search│Staffing

New York (NY)

On-site

USD 150,000 - 230,000

Full time

38 hours ago
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Job summary

Coda Search│Staffing is seeking a Treasury Manager for a cutting-edge technology company with NYC offices to lead treasury activities, oversee daily cash operations, and strengthen liquidity and controls.

The ideal candidate has a Bachelor’s degree and 10+ years in treasury or cash management, preferably within real estate or asset management, with advanced Excel skills and a process-driven leadership style.

Qualifications

  • Bachelor’s degree in Finance, Accounting, or related discipline.
  • 10+ years of treasury, cash management, or financial operations experience; real estate or asset management preferred.
  • Strong treasury controls, payment processes, and multi-entity cash structures.

Responsibilities

  • Oversee daily cash movement, liquidity monitoring, and banking activity to ensure funds are deployed efficiently and securely.
  • Review and authorize outgoing payments, including wires, ACH, and other disbursements, ensuring adherence to internal controls.
  • Supervise cash reconciliation activities and resolve discrepancies in a timely manner.
  • Produce and review cash reports, dashboards, and operational metrics for leadership visibility.
  • Establish team objectives, prioritize workloads, and ensure deadlines and service levels are met.
  • Manage banking relationships and account administration, including new accounts and signers.
  • Serve as treasury liaison for internal stakeholders across property accounting, operations, and asset management teams.

Skills

Detail-oriented
Strong judgment
Communication
Process-driven
Advanced Excel

Education

Bachelor’s degree in Finance, Accounting, or related discipline

Job description

A cutting-edge technology company with offices in NYC is seeking a Treasury Manager to lead treasury activities and oversee daily cash operations. The Treasury Manager will play a critical role in ensuring liquidity, maintaining strong financial controls, and building scalable treasury processes that support ongoing growth, acquisitions, and operational complexity.

Core Responsibilities
  • Oversee daily cash movement, liquidity monitoring, and banking activity to ensure funds are deployed efficiently and securely
  • Review and authorize outgoing payments, including wires, ACH, and other disbursements, ensuring adherence to internal controls and approval frameworks
  • Supervise cash reconciliation activities and ensure discrepancies are identified, investigated, and resolved in a timely manner
  • Produce and review cash reports, dashboards, and operational metrics to support leadership visibility and decision-making
  • Establish team objectives, prioritize workloads, and ensure deadlines and service levels are consistently met
  • Manage banking relationships and account administration, including new account setup, closures, and maintenance of authorized signers
  • Serve as the primary treasury liaison for internal stakeholders, including property accounting, operations and asset management teams
Qualifications & Experience
  • Bachelor’s degree in Finance, Accounting, or a related discipline
  • 10+ years of experience in treasury, cash management, or financial operations, preferably within real estate or asset management
  • Strong understanding of treasury controls, payment processes, and multi-entity cash structures
  • Advanced Excel skills with the ability to analyze and interpret large volumes of cash data
  • Detail-oriented leader with strong judgment, communication skills, and a process-driven mindset
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