Treasury Manager
Hackettstown, NJ - USA
Job Summary
Location: Hackettstown NJ 07840
Duration:9-Month Contract
We are seeking an experienced Treasury Manager to oversee cash management treasury operations forecasting financial analysis and reporting activities. The ideal candidate will have a strong background in treasury management cash forecasting variance analysis and banking operations with the ability to drive process improvements and support strategic liquidity management initiatives.
- Manage daily cash reporting and monitor cash positions across multiple bank accounts.
- Prepare and maintain weekly cash forecasts including variance analysis and liquidity reporting.
- Analyze cash flow trends and provide recommendations to optimize working capital and cash utilization.
- Support treasury operations banking relationships cash management activities and payment processes.
- Ensure compliance with treasury policies internal controls and financial regulations.
- Assist with Payment Card Industry (PCI) compliance initiatives audits and related documentation.
- Develop maintain and automate treasury reports dashboards and analytics using Power BI and Power Automate.
- Partner with Finance Accounting and business teams to improve treasury processes and reporting capabilities.
- Support month-end quarter-end and year-end treasury-related financial reporting activities.
- Identify and implement process improvements automation opportunities and operational efficiencies.
- Manage multiple priorities while delivering accurate and timely treasury reporting.
- Bachelors degree in Finance Accounting Business Administration Economics or a related field.
- 5 years of experience in Treasury Finance Accounting Financial Analysis or Auditing.
- Strong understanding of treasury operations cash management liquidity planning and banking activities.
- Experience preparing cash forecasts and conducting variance analysis.
- Strong analytical quantitative and problem-solving skills.
- Knowledge of accounting principles financial reporting and internal controls.
- Excellent communication stakeholder management and relationship-building skills.
- Ability to work independently in a fast-paced environment and manage competing priorities.
- Certified Treasury Professional (CTP) certification.
- Experience with Payment Card Industry (PCI) Compliance.
- Proficiency with Power BI Power Automate and data visualization tools.
- Experience driving treasury process improvements automation initiatives and reporting enhancements.
- Experience working with banking portals treasury management systems and financial analytics tools.
- Treasury Management
- Cash Management
- Cash Forecasting
- Daily Cash Reporting
- Variance Analysis
- Liquidity Planning
- Treasury Operations
- Banking Relationships
- Financial Analysis
- Financial Reporting
- PCI Compliance
- Power BI
- Power Automate
- Process Automation
- Internal Controls
- Auditing
- Microsoft Excel
- Working Capital Management
- Stakeholder Management
- Problem Solving
Required Skills:
Treasury Management