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Treasury Manager

NSF · Ann Arbor, MI, United States

Corporate Finance / InvestmentExternal listingfull-timeabout 2 hours ago

About The Role

NSF is seeking a Treasury Manager who is integral to the strategy, execution, and reporting of cash flow and debt of the Global business. The Treasury Manager is also critical in day-to-day Treasury operations. This position reports to the Treasurer and works closely with all Finance functions (Accounting, AP, AR, Tax, Payroll, FP&A, International Finance Staffs), other internal constituents (such as Procurement, Legal, Operations, IT), and external parties (particularly banking partners).

  • Create and manage the rolling 13-week cash flow forecast process.
  • Manage Intercompany transactions and borrowing processes, reporting, and documentation.
  • Manage compliance with bank covenants.
  • Perform Treasury Operations activities including:
  • Administer banking and other Treasury systems
  • Manage bank related documentation
  • Prepare month-end reporting
  • Investigate and resolve bank and payment issues
  • Recommend and support the execution of financing and working capital improvement plans.
  • Partner with various teams to optimize the global banking and cash management structure and processes.
  • Prepare presentations for executives, lenders, rating agencies, etc.
  • Support M&A, Capital Investment, and other corporate initiatives.
  • Align Accounts Payable processes, activities, and reporting globally to maximize cash flow and prepare for shared service centers.
  • Align Accounts Receivable processes, activities, and reporting globally to maximize cash flow and prepare for shared service centers.
  • Support special projects and other duties as assigned.

#LI-CB1

  • Bachelor’s degree in Finance or Accounting or equivalent required, MBA preferred
  • 5+ years of experience in Corporate Treasury, preferably at a multinational company
  • Designation as a Certified Treasury Professional (CTP) desirable
  • Experience with Accounts Receivable and Accounts Payable processes
  • Excellent communication and presentation skills
  • Strong analytical skills with advanced spreadsheet and financial modeling capabilities
  • Controls and process mindset with an attention to detail and accuracy
  • Eagerness to learn and continuously improve processes
  • Project management experience
  • Ability to work onsite a minimum of two days per week

Other Skills & Qualifications Desired

  • Experience with Oracle, Hubble, Planful, or Spotlight reporting

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