What are the responsibilities and job description for the Treasury Manager position at The Alliance Group?
We are looking for a skilled Treasury Manager to oversee and optimize financial operations within our organization. This role focuses on managing liquidity, cash flow, and foreign exchange activities while ensuring accurate reporting and compliance. The ideal candidate will bring strong expertise in treasury practices and a proven ability to work collaboratively with leadership.
Responsibilities:
- Manage daily liquidity and cash flow operations, ensuring optimal use of funds.
- Oversee foreign exchange transactions and multi-currency operations, minimizing risks and maximizing efficiency.
- Monitor and execute wire transfers while maintaining accuracy and timeliness.
- Prepare and analyze cash flow forecasts to support strategic financial planning.
- Reconcile treasury accounts and ensure alignment with financial records.
- Develop and implement policies and procedures to enhance treasury operations.
- Collaborate with the CFO and Director of Operations to align financial strategies with organizational goals.
- Provide detailed reports and insights on treasury activities to senior management.
- Ensure compliance with regulatory standards and company policies.
- Identify opportunities for process improvements and cost savings within treasury functions.
Requirements:
- Minimum of 5 years of experience in corporate treasury or related financial roles.
- Strong understanding of cash management, liquidity planning, and foreign exchange operations.
- Proficiency in managing multi-currency transactions and reconciliations.
- Demonstrated ability to execute wire transfers and other treasury activities with precision.
- Excellent communication skills to collaborate with senior leadership and cross-functional teams.
- Advanced knowledge of treasury management systems and tools.
- Bachelor's degree in finance, accounting, or a related field preferred.
Salary : $125,000 - $150,000