Treasury Manager
Job Overview We are seeking a dynamic and detail-oriented Treasury Manager to lead our organization's treasury functions with energy and precision. In this pivotal role, you will oversee cash management, financial reporting, regulatory compliance, and treasury operations to ensure the company's financial health and stability. Your expertise will drive strategic financial initiatives, optimize liquidity, and ensure adherence to accounting standards such as GAAP, IFRS, SOX, and governmental regulations. Join us to empower our financial team with your strong leadership, technical skills, and innovative approach to treasury management. Duties Manage daily cash flow operations, including forecasting, liquidity analysis, and cash position optimization using advanced spreadsheets and financial software like QuickBooks, Sage, Xero, and other accounting systems. Oversee accounts payable and receivable processes to ensure timely payments and collections while maintaining accurate records in compliance with GAAP and IFRS standards. Conduct balance sheet reconciliations, account analysis, and general ledger accounting to support accurate financial reporting and month-end close processes. Lead the preparation of financial reports, regulatory filings, and internal management reports with clarity and precision for stakeholders at all levels. Ensure regulatory compliance accounting practices are followed diligently in accordance with SOX requirements, governmental regulations, and nonprofit or public sector standards where applicable. Supervise and develop the finance team responsible for treasury functions, fostering a collaborative environment focused on continuous improvement in financial management practices. Implement cost accounting analysis strategies to monitor expenses effectively while supporting budgeting efforts through forecasting and financial planning activities. Skills Extensive knowledge of financial concepts including double entry bookkeeping, debits & credits, and international accounting standards such as IFRS and GAAP. Proven experience managing accounting teams with strong leadership skills in finance team management. Proficiency in financial software including QuickBooks, Sage, Xero, Excel data analysis tools, and other accounting systems for effective financial management. Strong understanding of treasury management principles including cash management strategies and regulatory compliance accounting. Ability to perform detailed account reconciliation, account analysis, balance sheet reconciliation, and financial report writing with accuracy. Familiarity with SOX controls, regulatory reporting requirements, cost accounting analysis, payroll processing, and technical accounting practices. Excellent analytical skills combined with a robust understanding of financial management principles necessary for forecasting and budgeting within nonprofit or governmental contexts. Join us as a Treasury Manager to shape the future of our organization’s financial stability! Your expertise will be instrumental in driving efficient treasury operations while ensuring compliance with all relevant standards—making a meaningful impact every day through your leadership in finance. Pay: $86,121.75 - $103,716.52 per year Benefits: 401(k) Health insurance Work Location: Remote
Наблюдалась 2026-09-14, впервые 2026-09-13, источник — Indeed.