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2 Treasury Manager Jobs in Warrendale, PA

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FULLSIGHT, LLC
Warrendale, PA | Full Time
$136k-172k (estimate)
1 Week Ago
Performance Review Institute
Warrendale, PA | Full Time
$136k-172k (estimate)
1 Week Ago
Treasury Manager
FULLSIGHT, LLC Warrendale, PA
$136k-172k (estimate)
Full Time 1 Week Ago
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FULLSIGHT, LLC is Hiring a Treasury Manager Near Warrendale, PA

JOB SUMMARY

This position is responsible for ensuring compliance that financial transactions are recorded in accordance with GAAP for multiple entities resulting in timely and accurate financial statements and other value added reports that will be used to make sound business decisions. Manages parts of the Treasury function including cash flow monitoring, cash receipt processing, credit and collections, and AR. Responsible for safeguarding the assets through account analysis and regular monitoring of financial transactions.

ESSENTIAL FUNCTIONS

  • Treasury management functions include: Develop and implement treasury strategies to optimize liquidity, mitigate financial risks, and maximize returns on investments; manage cash flow forecasting and cash management activities across all entities, ensuring sufficient liquidity to meet operational needs while minimizing idle cash; execute foreign exchange (FX) hedging strategies to mitigate currency risk exposure associated with international operations; oversee banking relationships and negotiate favorable terms, fees, and services; lead the evaluation and implementation of treasury management systems (TMS) and other financial technologies to streamline processes and enhance efficiency; prepare regular reports and presentations for senior management on treasury performance, risks, and opportunities; and ensure compliance with relevant regulatory requirements and internal controls pertaining to treasury operations.
  • Manage and ensure compliance for full cycle GL accounting for multiple entities which may include producing financial statements and other value added reports; foreign currency translations; AR and cash receipts oversight; independently audit, analyze asset and liability accounts on a monthly basis; manage month end and year end closings; revenue accounting; payroll analysis and upload of significant lines of data; lead, perform, research and resolve GL financial statement issues and provide support to external auditors for completion of year-end audits.
  • Manage, in lead role, financial system implementations including integration of acquisitions into ERP system; resolution of complex transactional issues and ensure accuracy of transactions while providing reporting functionality and efficiency. Maintain in depth knowledge and understanding of our programs, products and services, revenue recognition rules and sales taxability of our product and service offerings.
  • Monitor cash flow, credit and collections, analyzing daily cash balances, and customer payment processing/application to customer balances. Ensure compliance with financial transaction recording standards for general ledger accounts including but not limited to, cash, AR, revenue, and deferred revenue. Control reconciliation of bank accounts and various balance sheet accounts.
  • Motivate, lead and develop a team of three professionals in the Financial Services Business Unit, advancing quality and customer service.
  • Develop and maintain various accounting reports including, but not limited to, AR aging and allowance for doubtful accounts, for internal customers in a timely and accurate manner by utilizing ERP system as well as electronic spreadsheets.
  • Assisting with a wide variety of technical accounting issues and processes (including but not limited to, product profitability analysis, investment accounting, tax filings).

MINIMUM REQUIREMENTS

  • Bachelors degree in Accounting
  • 3 years managerial experience
  • Ability to work independently and under pressure of multiple deadlines.
  • Full understanding of generally accepted accounting principles.
  • Ability to constructively communicate with staff at all levels within an organization to resolve issues and obtain information to complete projects and tasks.
  • Ability to serve as a partner to business unit managers to coordinate and facilitate cross functional budget and forecast/projection processes.
  • Maintain up to date knowledge of CMS reports as well as financial systems reports (AR, AP, GL).

PREFERRED QUALIFICATIONS

  • 5 years in accounting with combined public and corporate accounting, desired.
  • CPA or CMA designation, preferred.

WORKING CONDITIONS AND PHYSICAL REQUIREMENTS

  • Ability to travel 5% of the time.
  • Ability to work for long periods at a computer/desk.
  • Standard office environment.

ABOUT THE ORGANIZATION

Fullsight is an integrated brand of our three primary affiliate companies – SAE Industry Technologies Consortia, SAE International and Performance Review Institute – and their subsidiaries. As a collective, Fullsight enables a robust resource of innovative programs, products and services for industries, their engineers and technical experts to work together on traditional and emergent complex issues that drive their future progress.

SAE Industry Technologies Consortia® (SAE ITC) enables organizations to define and pilot best practices. SAE ITC industry stakeholders are able to work together to effectively solve common problems, achieve mutual benefit for industry, and create business value.

The Performance Review Institute® (PRI) is the world leader in facilitating collaborative supply chain oversight programs, quality management systems approvals, and professional development in industries where safety and quality are shared values.

SAE International® (SAEI) is a global organization serving the mobility sector, predominantly in the aerospace, automotive and commercial-vehicle industries, fostering innovation, and enabling engineering professionals. Since 1905, SAE has harnessed the collective wisdom of engineers around the world to create industry-enabling standards. Likewise, SAE members have advanced their knowledge and understanding of mobility engineering through our information resources, professional development, and networking.

Job Summary

JOB TYPE

Full Time

SALARY

$136k-172k (estimate)

POST DATE

04/28/2024

EXPIRATION DATE

06/26/2024

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The following is the career advancement route for Treasury Manager positions, which can be used as a reference in future career path planning. As a Treasury Manager, it can be promoted into senior positions as a Treasury Director that are expected to handle more key tasks, people in this role will get a higher salary paid than an ordinary Treasury Manager. You can explore the career advancement for a Treasury Manager below and select your interested title to get hiring information.