A company is looking for a Treasury Cash Management Manager to oversee cash operations and liquidity planning.
Key Responsibilities
Oversee daily cash positioning, forecasting, and liquidity planning
Manage short-term investments, debt obligations, and optimize use of credit facilities
Lead bank account administration, including openings, closures, and signatory updates
Required Qualifications
Bachelor's degree in Finance, Accounting, or related field; MBA or CTP preferred
6+ years of experience in treasury or cash management, with leadership experience a plus
Strong knowledge of treasury systems, banking platforms, and cash forecasting tools
Advanced Excel and financial modeling skills, with ERP familiarity (SAP, Oracle, NetSuite preferred)
Treasury Manager • Minneapolis, Minnesota, United States