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Taylor White Accounting and Finance
Treasury Manager
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Based on Florida data
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What they do
A Financial Manager directs and plans the financial activities of a company or organization. Prepares financial statements and business activity and forecasting reports; supervises accounting and preparation of financial reports; advises management with regard to finance decisions.
$150,041 / year median in Florida
+11% projected growth
Job Description
Treasury Manager | Up to $130K + Bonus | Greater Fort Lauderdale Area Our client, a global manufacturing company is seeking a Treasury Manager to support and enhance its treasury function. This role will be responsible for cash management, liquidity planning, banking relationships, debt compliance, and treasury-related risk management. The position offers the opportunity to help develop treasury processes and support ongoing business initiatives, including a company-wide ERP transformation. The ideal candidate is hands-on, collaborative, and comfortable working across all levels of the organization. This role will regularly interact with finance, accounting, and senior leadership while supporting both day-to-day treasury operations and longer-term strategic initiatives. Successful completion of background, drug, and reference checks is required. Responsibilities Manage daily cash positioning and liquidity across multiple entities and banking relationships Prepare and maintain short- and long-term cash flow forecasts in partnership with FP&A Analyze cash flow variances and provide reporting and recommendations to leadership Oversee cash disbursements and collections to support efficient operations Maintain banking relationships, including account administration and fee management Support debt administration, credit facilities, and financing activities Monitor treasury-related risks and recommend appropriate mitigation strategies Ensure compliance with SOX requirements and internal control standards Support treasury system enhancements, integrations, and process improvement initiatives Develop treasury reporting, dashboards, and key performance metrics Partner with accounting and accounts payable teams to support working capital management Participate in treasury-related projects, including banking initiatives, acquisitions, and process improvements Requirements Bachelor's degree in Accounting, Finance, or related field required MBA, CFA, or CTP designation preferred 5+ years of treasury experience required Public accounting experience, including Big 4, is preferred Knowledge of debt structures, credit facilities, and capital markets Understanding of