BizTek People
Overview
Title: Treasury Cash Management Manager Duration: 3 Months Location: Portland, OR – Hybrid/Remote We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company Holdings and its subsidiaries have over 70 bank accounts, multiple credit facilities and commercial paper programs, and issues common stock equity and long-term debt. This role is critical to ensuring optimal cash flow, managing banking relationships, supporting corporate treasury initiatives, and providing reporting to our Treasury team, Treasurer and CFO. You’ll work cross-functionally with finance, accounting, and operations to drive efficiency and safeguard financial assets. Responsibilities
Oversee daily cash positioning, forecasting, and liquidity planning Manage short-term investments and debt obligations to optimize returns and minimize costs. This includes our credit facilities, commercial paper and the investment of any excess cash Lead bank account administration, including opening/closing accounts and maintaining signatories Maintain cash flow models and provide reporting to our Treasury team, Treasurer and CFO Monitor and manage intercompany funding, equity contributions and dividend activities Ensure compliance with internal controls, SOX requirements, and treasury policies Collaborate with accounting on reconciliations and month-end close and oversee reconciliations done in Treasury Support treasury-related audits and regulatory filings Support long-term debt and common stock equity issuances as necessary Help evaluate and implement treasury technology solutions to improve automation and visibility Qualifications
Bachelor’s degree in Finance, Accounting, or related field; MBA or CTP preferred 6+ years of experience in corporate treasury or cash management with management experience a plus Strong understanding of banking platforms, treasury systems, and cash forecasting tools Excellent analytical, communication, and problem-solving skills Proficiency in Excel and financial modeling Experience with ERP systems (e.g., SAP, Oracle, NetSuite) is a plus
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Title: Treasury Cash Management Manager Duration: 3 Months Location: Portland, OR – Hybrid/Remote We are seeking a strategic and detail-oriented contractor for our Treasury Cash Management Manager role to lead our cash operations and liquidity strategies. Company Holdings and its subsidiaries have over 70 bank accounts, multiple credit facilities and commercial paper programs, and issues common stock equity and long-term debt. This role is critical to ensuring optimal cash flow, managing banking relationships, supporting corporate treasury initiatives, and providing reporting to our Treasury team, Treasurer and CFO. You’ll work cross-functionally with finance, accounting, and operations to drive efficiency and safeguard financial assets. Responsibilities
Oversee daily cash positioning, forecasting, and liquidity planning Manage short-term investments and debt obligations to optimize returns and minimize costs. This includes our credit facilities, commercial paper and the investment of any excess cash Lead bank account administration, including opening/closing accounts and maintaining signatories Maintain cash flow models and provide reporting to our Treasury team, Treasurer and CFO Monitor and manage intercompany funding, equity contributions and dividend activities Ensure compliance with internal controls, SOX requirements, and treasury policies Collaborate with accounting on reconciliations and month-end close and oversee reconciliations done in Treasury Support treasury-related audits and regulatory filings Support long-term debt and common stock equity issuances as necessary Help evaluate and implement treasury technology solutions to improve automation and visibility Qualifications
Bachelor’s degree in Finance, Accounting, or related field; MBA or CTP preferred 6+ years of experience in corporate treasury or cash management with management experience a plus Strong understanding of banking platforms, treasury systems, and cash forecasting tools Excellent analytical, communication, and problem-solving skills Proficiency in Excel and financial modeling Experience with ERP systems (e.g., SAP, Oracle, NetSuite) is a plus
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