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Treasury Manager

Sunbelt Solomon
United States, Texas, Temple
1922 Martin Luther King Junior Drive (Show on map)
Nov 20, 2025
The Treasury Manager is a financial professional responsible for managing all aspects of the treasury process for the company. Additionally, this role will be involved with managing the accounts payable team in the U.S.
  • Monitor cash funds and GL for day-to-day operations.
  • Prepare and maintain a 13-week cash forecast.
  • Prepare weekly cash flash report.
  • Complete daily activities including running cash reports, maintaining positive pay files, processing check inquiries and stop payments, and posting daily cash book entries.
  • Supervise the Accounts Payable team to ensure timely processing of invoices.
  • Ensure Accounts Payable team is following up with any inquiries.
  • Prepare U.S. bank reconciliations monthly.
  • Process weekly ACH and wire payments in the bank.
  • Import check files to the bank website.
  • Research and reconcile outstanding items (duplicate payments, missing & misclassified transactions, etc).
  • Prepare borrowing base report monthly.
  • Complete month-end journal entries.
  • Process online tax payments - quarterly.
  • Administer and manage all bank users, roles, and set ups.
  • Provide ad hoc reports, as necessary.

  • Five+ years of previous experience, some with a treasury focus
  • Thorough knowledge of accounting principles, as well as in-depth understanding of the treasury cycle, and familiarity with the accounts payable process
  • Experience within a Finance team in a manufacturing environment is preferred
  • Strong analytical skills, the ability to work in a fast-paced environment, and excellent communication skills
  • Proficiency in Microsoft Office, including Excel, Word, and PowerPoint
  • Oracle NetSuite, SAP, or SysPro experience a plus
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