Site icon Lakeshore Talent

Treasury Manager

To Apply for this Job Click Here

Lakeshore Talent is in search of a Treasury Manager to join a dynamic and growing organization in a direct hire, fully remote capacity. This is an exciting opportunity for a seasoned treasury professional to lead daily cash operations, oversee forecasting and liquidity planning, and support strategic financial initiatives. The role reports directly to the VP of Financial Accounting and offers competitive compensation and comprehensive benefits starting on day one.


Position Details


Position Overview

The Treasury Manager is responsible for overseeing daily cash operations, ensuring accurate account reconciliations, and producing reliable short- and long-term cash forecasts. This role manages and executes all core treasury functions including bank relationship management, liquidity planning, borrowing and investing activities, and compliance with cash, investment, and debt policies.

The ideal candidate is highly analytical, detail-oriented, and proactive, with the ability to meet critical deadlines and collaborate effectively across departments.


Key Responsibilities

Cash Management & Operations

Account Reconciliations & Month-End Close

Cash Forecasting & Planning


Required Qualifications

Preferred Qualifications


Benefits (Effective Day 1)


#LI-123

To Apply for this Job Click Here

Exit mobile version