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Skills
Access Controlunmatched
Accountingunmatched
Accounts Payableunmatched
Analysis Skillsunmatched
Automationunmatched
Bank Managementunmatched
Banking Operationsunmatched
Banking Servicesunmatched
Billingunmatched
Cash Flowunmatched
Cash Managementunmatched
Constructionunmatched
Continuous Improvementunmatched
Credit Cardsunmatched
Develop and Maintain Customersunmatched
Disbursementsunmatched
Documentationunmatched
ERP (Enterprise Resource Planning)unmatched
Expense Trackingunmatched
Financeunmatched
Financial Controlunmatched
Financial Operationsunmatched
Financial Reportingunmatched
Financial Transactionsunmatched
Forecastingunmatched
Fundingunmatched
Healthcareunmatched
Home Careunmatched
Liquidityunmatched
Loansunmatched
Maintain Complianceunmatched
Microsoft Dynamicsunmatched
Microsoft Excelunmatched
NetSuiteunmatched
Online Bankingunmatched
Operationsunmatched
Oracleunmatched
Organizational Skillsunmatched
People Managementunmatched
Pivot Tablesunmatched
Problem Solving Skillsunmatched
Process Improvementunmatched
Real Estateunmatched
Record Keepingunmatched
Relationship Managementunmatched
Reporting Dashboardsunmatched
SAPunmatched
Sales Managementunmatched
Time Managementunmatched
Treasuryunmatched
Treasury Managementunmatched
Trend Analysisunmatched
Variance Analysisunmatched
Description
Location: Brooklyn, NY
Salary: $110K-$120K
Treasury Manager
Reports To: Controller
Position Summary
The Treasury Manager is responsible for the daily treasury operations of a multi-entity organization with approximately 15 active companies and numerous banking relationships. This position oversees cash management, banking activities, cash forecasting, debt administration, credit card programs, and a small Accounts Payable department while ensuring strong internal controls and efficient cash utilization.
This is an operational treasury role focused on execution rather than bank relationship management. The position works closely with the Controller, accounting team, and senior management.
Essential Responsibilities
Treasury & Cash Management
Manage all daily banking activities across multiple companies and bank accounts.
Monitor daily cash balances and optimize cash positioning.
Prepare and maintain short-term and long-term cash flow forecasts.
Coordinate intercompany cash movements and funding requirements.
Initiate and approve ACH, wire transfers, positive pay, and other electronic banking transactions.
Maintain banking portals, user access, and payment controls.
Ensure adequate liquidity to meet operational needs.
Banking Operations
Maintain banking records and account documentation.
Open, close, and maintain bank accounts as directed.
Resolve banking issues and transaction exceptions.
Monitor bank fees and recommend process improvements.
Ensure compliance with internal treasury policies.
Debt Administration
Track loans, lines of credit, and financing arrangements.
Monitor debt covenants, payment schedules, and maturities.
Coordinate principal and interest payments.
Maintain loan amortization schedules.
Assist with lender reporting requirements.
Credit Card Administration
Manage corporate credit card programs.
Monitor spending limits and cardholder compliance.
Review and reconcile monthly credit card activity.
Administer new card requests and cancellations.
Accounts Payable Oversight
Supervise a small Accounts Payable team.
Ensure timely processing of vendor invoices and payments.
Monitor payment approvals and cash disbursement schedules.
Improve AP processes and internal controls.
Reporting & Analysis
Prepare daily, weekly, and monthly cash reports.
Develop cash flow forecasts and variance analyses.
Produce treasury dashboards and management reports.
Analyze cash trends and recommend process improvements.
Support month-end and year-end closing activities.
Assist with audit requests related to treasury activities.
Qualifications
Bachelor's degree in Accounting, Finance, or Business.
4+ years of treasury, finance, or cash management experience.