Job Description
About the Role
We are seeking a Treasury Manager to establish and lead the treasury function within a growing, multi-entity organization. Reporting directly to the CFO, this individual will be responsible for developing treasury processes, cash forecasting capabilities, and banking relationships while providing visibility into the organization's liquidity and working capital needs. This is a rare opportunity to build a treasury function from the ground up. The successful candidate will create core treasury processes, implement cash management reporting, support lender and banking relationships, and help establish a scalable treasury framework to support the organization's continued growth.
The role offers significant exposure to senior leadership, investors, and financing activities while providing the opportunity to shape the future treasury function as the business expands.
Key Responsibilities
- Develop and manage short-term and long-term cas...