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We are looking for an experienced Treasury Consultant to lead a short-term contract engagement supporting a comprehensive review of treasury operations for an organization based in Saint Louis, Missouri. This Contract position will focus on evaluating current practices, identifying opportunities to strengthen treasury strategy, and delivering practical recommendations for senior leadership. The consultant will combine strategic perspective with hands-on analysis to help shape an effective future-state treasury model in a decentralized operating environment.
Job Responsibility:
Conduct a detailed assessment of existing treasury activities, organizational capabilities, and operating structure to identify strengths, gaps, and priority improvement areas
Develop a forward-looking treasury framework that aligns structure, responsibilities, and processes with business needs and leadership objectives
Review cash management practices, banking arrangements, and reconciliation workflows to recommend ways to improve visibility, control, and efficiency
Analyze debt profile, capital considerations, and financial risk exposure to support informed guidance on treasury strategy and risk management options
Evaluate treasury reporting processes and assess the effectiveness of treasury management systems to recommend enhancements that support better decision-making
Partner with key finance and treasury stakeholders to gather insights, validate findings, and refine recommendations throughout the engagement
Prepare and deliver a clear executive-level readout that summarizes current-state findings, future-state priorities, and actionable next steps for leadership
Provide practical recommendations informed by treasury best practices and experience operating in larger, more complex business environments
Requirements:
5+ years of experience in treasury, corporate treasury, or treasury operations roles with strong exposure to strategic and operational responsibilities
Director-level treasury leadership experience or comparable senior-level expertise with the ability to balance advisory work and execution
Demonstrated knowledge of cash flow forecasting, cash positioning, banking structures, and core treasury activities
Experience assessing and improving treasury operations within decentralized or multi-entity business environments
Strong ability to evaluate capital structure, debt considerations, and treasury-related risk management approaches
Excellent communication skills with the ability to present recommendations and influence executive stakeholders
Proven consultative approach with the ability to introduce best practices, synthesize findings, and deliver actionable guidance