What are the responsibilities and job description for the Treasury Manager position at Michael Page?
- Based in Spring (Houston, TX) - 3 days per week in the office (Hybrid working)
- Rapidly growing technology and manufacturing business
With operations spanning the US, UK, India, Saudi Arabia, Taiwan, Spain, and other international markets, the company is seeking a Treasury Manager to lead global treasury operations, liquidity planning, banking relationships, foreign exchange management, and treasury process improvement initiatives. This is a highly visible role that will work closely with executive leadership and play a critical part in ensuring the organization maintains sufficient liquidity while optimizing cash deployment across the business. The successful candidate will help build and scale treasury processes within a fast-paced, high-growth international environment.
Job Description
The successful Treasury Manager will:
- Manage daily cash positions across multiple global entities and bank accounts
- Develop and maintain short-term and long-term cash flow forecasts
- Monitor liquidity requirements and ensure adequate funding across international operations
- Optimize cash utilization and deployment throughout the organization
- Coordinate intercompany funding activities and cash transfers
- Manage relationships with global banking partners and financial institutions
- Lead bank account administration, maintenance, and rationalization projects
- Negotiate banking services, fees, and credit facilities
- Coordinate KYC, compliance, and banking documentation requirements
- Monitor foreign currency exposure across international operations
- Develop and implement FX risk management and hedging strategies
- Support treasury operations, internal controls, and governance procedures
- Oversee payment approval processes and treasury-related controls
- Support internal and external audits
- Administer debt facilities, loan agreements, and covenant compliance requirements
- Support financing activities, capital initiatives, and lender reporting requirements
- Partner with finance leadership on budgeting, liquidity planning, and working capital management
- Prepare month-end treasury reporting, dashboards, KPIs, and executive presentations
- Analyze cash flow trends, forecast variances, and liquidity risks
- Support M&A activities, international expansion projects, and treasury transformation initiatives
- Identify opportunities for automation, process improvements, and treasury infrastructure enhancements
The Successful Applicant
The Successful Treasury Manager Will Have
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- 10 years of treasury, corporate finance, banking, or cash management experience
- Strong experience managing global cash operations and liquidity planning
- Proven experience within multinational and multi-entity organizations
- Deep understanding of banking structures, cash management, and treasury controls
- Experience managing banking relationships across multiple jurisdictions
- Strong knowledge of foreign exchange markets, currency exposure, and hedging strategies
- Experience with debt facilities, covenant compliance, and funding structures
- Advanced Excel and financial modeling capabilities
- Strong cash forecasting and working capital management experience
- Ability to operate independently in a hands-on treasury leadership role
- Experience supporting executive-level reporting and strategic decision-making
- ERP experience, ideally Microsoft Dynamics Business Central or similar platforms
- Excellent communication and stakeholder management skills
- Ability to thrive in a fast-paced, evolving, and high-growth environment
- Proactive mindset with a passion for building scalable processes and controls
- $140,000 - $150,000 base salary
- Annual bonus opportunity
- Comprehensive benefits package
- Hybrid working environment
- Highly visible role with direct exposure to executive leadership
- Opportunity to build and improve treasury operations within a rapidly growing global organization
- Exposure to international banking, FX, and liquidity management activities
- Long-term career growth within a dynamic and expanding business
Quote job ref: JN-062026-7043953
Salary : $140,000 - $150,000