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We are looking for a highly skilled Treasury Manager to take ownership of treasury operations for our organization. This role offers a unique opportunity to provide both strategic leadership and hands-on execution in areas such as cash management, forecasting, and banking operations. As the sole treasury specialist, you will play a critical role in ensuring the organization's financial health and compliance. This is a Long-term Contract position based in Minneapolis, Minnesota.
Job Responsibility:
Manage daily cash operations, including wire payments to vendors and internal fund transfers, ensuring accuracy and timeliness
Oversee workflows across multiple banking portals and corporate accounts, resolving discrepancies and reconciling transactions efficiently
Act as the primary point of contact with banking partners, handling account updates, documentation, and authorized signatory changes
Monitor liquidity levels and strategically allocate funds to optimize yields or reduce borrowing costs
Maintain and enhance cash forecasting models to reflect business growth, revenue changes, and product launches
Analyze cash flow trends to identify risks, propose mitigation strategies, and address unusual activity proactively
Collaborate with finance leadership on long-term cash flow planning and treasury-related budgeting efforts
Establish and enforce robust controls to ensure compliance with company policies and regulatory standards
Prepare detailed reports on cash positions, payment activities, and bank account summaries for audits and management reviews
Respond to audit inquiries and ensure compliance with all treasury and banking processes
Requirements:
At least 7 years of progressive experience in corporate treasury with strong knowledge of cash management and banking structures
Proven ability to operate independently as the sole treasury resource, making informed decisions and managing priorities effectively
Advanced proficiency in Excel, including experience with treasury models and reporting
Familiarity with treasury systems and tools, with expertise in global treasury processes preferred
Excellent communication skills, capable of explaining complex financial concepts to diverse audiences
Strong analytical skills to evaluate cash flow trends and identify potential risks
Demonstrated ability to develop and maintain rigorous controls and compliance frameworks
Experience working with various payment types and managing corporate bank accounts across multiple platforms
What we offer:
medical, vision, dental, and life and disability insurance