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C
Clarke
Treasury Manager
Career Insights for Financial Manager (General)
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Scorecard
Based on Illinois 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.
$164,741 / year median in Illinois
+3% projected growth
Job Description
Treasury Manager
Posted 20-Jul-2026 (CST)
St Charles, IL, USA
121,000-140,000 per year
Salary
Regular, Full Time
Work from home flexibility
We offer an outstanding compensation and benefits package including medical, dental, vision, life, disability, 401k (Roth and traditional) with a generous match, tuition reimbursement and career development and training opportunities, LinkedIn Learning subscriptions, paid parental leave program, electric vehicle incentives, paid volunteer time, generous PTO, paid holidays, paid winter break between Christmas and New Years, and discretionary bonus. Treasury Manager We are seeking a detail-oriented and collaborative Treasury Manager to lead key treasury and financial operations. This role is responsible for ensuring accurate daily operations, strengthening internal processes, supporting compliance and audit readiness, and partnering with internal teams, customers, vendors, banks, and business partners. This person brings sound judgment, strong communication skills, and the ability to lead people, improve processes, and support a fast-paced, service-focused environment. Key Responsibilities Manage daily treasury operations, including cash management, cash application, banking activity, payment processing, and related financial controls.
Oversee accounts payable, accounts receivable, billing support, collections activity, corporate card administration, and related financial reporting.
Maintain banking documentation, bank account requirements, online banking access, and effective banking relationships.
Support audit requests, compliance activities, internal control documentation, 1099 reporting, journal entries, and treasury-related reporting.
Lead, coach, and support team members while promoting accuracy, timeliness, accountability, and continuous improvement.
Lead and support process improvements, system updates, banking implementations, automation opportunities, and cross-functional projects.