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Treasury Manager – Boston, MA
Our client, a global organization in the financial services industry, is seeking an Interim Treasury Manager to support their treasury team. This contract role is expected to last 2-3 months, with potential to extend.
Responsibilities:
- Manage daily cash operations, liquidity, and banking activities.
- Prepare and update cash flow forecasts.
- Support treasury initiatives and process improvements during the interim period.
- Collaborate with leadership on treasury initiatives and provide actionable financial insights.
- Maintain compliance with internal controls and treasury policies.
Qualifications:
- 5+ years of treasury experience.
- Experience with banking portals (e.g., BofA CashPro) preferred.
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