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Job description
A growing organization is seeking a Treasury Manager responsible for overseeing daily cash operations and supporting treasury system initiatives. This fully remote role requires 5+ years of cash management experience and expertise in system implementations. The ideal candidate will manage liquidity forecasting, prepare reports, and administer treasury systems including Kyriba. Strong Excel skills are a must, and the role offers a competitive compensation package including base salary and bonus.
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Worksite address
dallas, TX, 75215, US
Who can apply
Review the original listing for work authorization, qualifications and employer requirements.