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We are seeking a highly skilled and motivated Treasury Manager to join our finance team. The ideal candidate will be responsible for managing our organization’s financial resources, overseeing cash flow, and developing strategies to optimize liquidity and mitigate financial risks.
Job Responsibility:
Oversee daily cash management operations
Processing transfers to cover overdrafts
Setup wires/Ach payments
Manage relationships with banks and financial institutions
Assist in setup of new accounts
User setup and training
Collaborate with other departments to align treasury activities with organizational goals
Lead projects related to treasury operations and financial strategy improvement
Including rolling out for new treasury automation software
Monitor Divvy- Petty Cash Reimbursement software
User setup
Payment
Manage all Health Insurance remittances
Reconcile EE deductions and move funding for Health Insurance
Audit Health Insurance enrollment
Experience with borrowing base calculations
Requirements:
Strong understanding of cash flow management
Banking experience preferred
Proficiency in Microsoft Excel and other accounting software
Conscientious about timeliness of assignments and quality of work
Excellent attention to detail and accuracy in data entry