Jobs · Management · New York

Treasury Lead

MDAEdge · New York, United States · 1 mo ago
On-siteManagementFull-time

Job Summary

About the role

We are seeking a detail-oriented Treasury Lead with strong cash management expertise and the ability to thrive in a fast-paced environment. This adaptable role is a short-term contract position ending April 30, 2026, with potential for extension.

Work Type

Hybrid (minimum 3 days per week in Folsom, NJ).

Basic Qualifications

  • Bachelor's degree in finance or accounting or equivalent work experience.
  • At least five years of professional work experience in the following areas: corporate cash management and treasury services.
  • Strong understanding of key Treasury concepts, cash flow and liquidity forecasting.
  • Ability to multi-task and handle tight deadlines with high accuracy.
  • Ability to work in a fast-paced environment with extended hours as necessary to manage through periodic reporting workflows and ad hoc stakeholder requests.

Essential Functions

Cash Flow Forecasting & Analysis

  • Co-lead the development, enhancement, and maintenance of cash flow forecasts.
  • Analyze variances between forecasted and actual cash flows, identifying key drivers and recommending process or assumption adjustments.
  • Partner with internal teams to gather inputs and validate forecast assumptions.
  • Prepare periodic forecast presentations and insights for senior leadership.

Banking & Vendor Coordination

  • Serve as a primary point of contact for daily banking operations, coordinating with banking partners to resolve payment issues, account discrepancies, or system outages.
  • Liaise with external vendors to troubleshoot treasury platform functionality, banking portals, and data feed integrations.
  • Support the onboarding of new banks, products, accounts, or treasury services as needed.

Cash Reporting & Review

  • Review cash management team–prepared reports, including daily liquidity summaries, bank fee analyses, and account activity reports to ensure accuracy and completeness.
  • Identify trends, anomalies, and improvement opportunities in reporting and operational workflows.

Daily Cash Positioning & Operations Support

  • Provide rotational coverage for daily cash positioning activities, including bank balance monitoring, cash sweeps, borrowing decisions, and investment placements.
  • Execute daily funding transactions, wire transfers, ACH approvals, and internal cash movements in accordance with Treasury controls and approval matrices.
  • Prepare the daily cash position and liquidity reporting package when providing coverage.

Others

  • Support ongoing and ad‐hoc cash management initiatives such as account rationalization, automation projects, banking system upgrades, or policy enhancements.
  • Maintain and ensure compliance with internal treasury controls, documentation standards, and audit requirements.
  • Absorb support for month-end and quarter-end Treasury activities as needed.
  • Maintain and update the Treasury dashboard.

Pay

N/A

Schedule

N/A

Benefits

N/A

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