Treasury Manager

Nextech
  • Melbourne, Florida
    30+ days ago

    Job Description

    Overview

    Join the best in the industry at Nextech and embark on a rewarding career journey! For over 30 years, we've built our success on a foundation of Quality, Value, and Integrity, fostering enduring partnerships with thousands of satisfied customers. With over 2,000 team members nationwide, Nextech sets itself apart from other companies by being America's largest HVAC/R service provider.

    As we continue to grow, we're committed to offering an exceptional work experience for our employees with numerous opportunities for development and advancement. If you pride yourself on quality work, integrity, and dedication, we want you on our team. Nextech boasts outstanding review ratings on Indeed and Glassdoor, making it the premier destination for HVAC professionals. Elevate your career by joining Nextech today!
    What You'll Be Doing
    Nextech is seeking a Treasury Manager to join our growing finance team. This hybrid role plays a critical part in managing daily liquidity, supporting cash forecasting, and partnering across the business to optimize treasury operations in a domestic environment.
    What Makes Nextech Different?
    Why Join Nextech?
      • High-impact role with visibility into key liquidity decisions
      • Opportunity to help build and enhance treasury processes and infrastructure
      • Collaborative environment with exposure to senior leadership and banking partners
    • Paid Training & Ongoing Development - Invest in your career with fully paid initial and continuous training.
    • Top-Tier Health Insurance - Choose from excellent options, including a FREE employee-only plan.
    • Dental & Vision Coverage - Prioritize your overall health with added benefits.
    • Supplemental Insurance Options - Access Accident, Critical Illness, Disability, and Supplemental Life coverage.
    • FREE Life Insurance - Coverage equal to your annualized pay at no cost to you.
    • 401(k) Retirement Plan - Secure your future with a 50% match on the first 6% of your contributions.
    • Generous Time Off - Recharge with 7 paid holidays, and Paid Time Off (PTO).
    Min CompensationMax CompensationResponsibilities
    Essential Duties and Responsibilities
    • Leads all operational aspects of daily operations of the Treasury function
    • Administrator on banking systems and other financial portals
    • Manages the daily cash position, including bank balances, activity, and liquidity reporting
    • Completes corporate banking and treasury management services transition project
    • Supports banking and treasury management services' integrations for acquisitions
    • Executes intercompany transfers and funding to ensure optimal cash utilization
    • Supports revolver draw and repayment decisions based on liquidity needs
    • Maintains and enhances the 13-week cash flow forecast, including variance analysis
    • Partners with AR, AP, and FP&A to improve visibility into cash flow drivers, and to support working capital initiatives
    • Serves as a key contact with banking partners and support treasury projects and process improvements
    • Resolves ACH and check positive pay exceptions and other payment-related issues
    • Supports lender reporting and compliance, including borrowing base and covenant requirements
    • Processes certain payments in the banking systems
    • Completes assigned tasks in a safe, accurate, thorough, and alert manner
    • Upholds Company policies and procedures
    • Works in a professional manner with managers, supervisors, coworkers, customers, and the public
    • Other related job duties as assigned
    Qualifications
    Required Knowledge, Skills, and Abilities
    • Tenacious self-starter
    • Core values of ownership & accountability, with a bias for action
    • Excellent verbal and written communication skills
    • Exceptional attention to detail and excellent organizational skills
    • Strong experience with daily cash positioning and cash flow forecasting
    • Familiarity with credit facilities, liquidity management, and banking platforms
    • Understanding of payment systems (ACH, wires) and fraud controls (positive pay)
    • Advanced Excel skills and strong analytical capabilities
    • Ability to work cross-functionally in a fast-paced, evolving environment
    What We're Looking For

    Numbers & Facts

    LocationMelbourne, Florida

    Skills

    • Accounts Payableunmatched
    • Accounts Receivableunmatched
    • Acquisition Integrationunmatched
    • Analysis Skillsunmatched
    • Bank Managementunmatched
    • Banking Servicesunmatched
    • Cash Flowunmatched
    • Cash Managementunmatched
    • Communication Skillsunmatched
    • Corporate Bankingunmatched
    • Corporate Policiesunmatched
    • Cross-Functionalunmatched
    • Customer Satisfactionunmatched
    • Detail Orientedunmatched
    • Facilities Managementunmatched
    • Financeunmatched
    • Financial Operationsunmatched
    • Financial Planning and Analysis (FP&A)unmatched
    • Forecastingunmatched
    • Fundingunmatched
    • HVACunmatched
    • Health Insuranceunmatched
    • Leadershipunmatched
    • Liquidityunmatched
    • Loansunmatched
    • Maintenance - HVACunmatched
    • Microsoft Excelunmatched
    • Operationsunmatched
    • Organizational Skillsunmatched
    • Presentation/Verbal Skillsunmatched
    • Process Improvementunmatched
    • Team Playerunmatched
    • Treasuryunmatched
    • Treasury Managementunmatched
    • Variance Analysisunmatched
    • Writing Skillsunmatched

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