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Our client, a rapidly expanding law firm, with operations in the US and Canada, is seeking a Treasury Manager with a blend of Treasury, FP&A, and Accounting experience. THIS IS NOT a traditional treasury role—it's designed for a multifaceted finance professional who can rotate into other roles in the future.
Job Responsibility:
Manage treasury activities via banking portals and drive process modernization
Support FP&A and Accounting functions and contribute to finance transformation initiatives
Ensure liquidity management aligns with growth strategies
Requirements:
7+ years of experience overseeing treasury as part of broader finance/accounting responsibilities
Bachelor's degree in Accounting, Finance, or a related field
CPA or equivalent certification preferred
Exposure to FP&A and Accounting cycles
Strong understanding of corporate treasury operations and cash management
Experience managing business banking relationships and financial partnerships
Familiarity with global financial activities, with a focus on North American practices
Exceptional analytical skills with the ability to interpret and present financial data
Background in process improvement and transformation