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Manager of Treasury; Hybrid - Draper, UT

Job in Draper, Salt Lake County, Utah, 84020, USA
Listing for: Progressive Leasing
Full Time position
Listed on 2026-05-17
Job specializations:
  • Finance & Banking
    Financial Manager, Corporate Finance
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below
Position: Manager of Treasury (Hybrid - Draper, UT)

Progressive Leasing is a leading provider of in-store and e-commerce lease‑to‑own solutions. With more than 20 years in Fin Tech, we’ve grown from start‑up to industry leader by innovating, simplifying, and valuing people. We are a subsidiary of PROG Holdings (NYSE: PRG), a Fin Tech holding company with three business segments:
Progressive Leasing, Purchasing Power (a leading employee purchase program for consumer products and services using payroll deduction), and Four, a Buy Now Pay Later (BNPL) platform.

Manager of Treasury to lead treasury operations with a strong focus on payments, systems integration, and process automation. This role owns the execution and optimization of treasury and payment processes across PROG Holdings and serves as a key partner in enterprise initiatives including acquisitions, Workday implementation, and company‑wide cash flow forecasting. The Manager of Treasury will operate as both an operational leader and strategic enabler—driving scalable, secure, and automated treasury solutions across the organization.

Employee

Value Proposition

PROG is dedicated to providing people with opportunity—opportunity for inclusive collaboration, opportunity for innovation, and opportunity for development.

WE ARE

A growing, enterprise‑focused financial organization supporting complex payment ecosystems and multi‑entity operations. We value strong internal controls, operational excellence, and continuous improvement. Our teams partner cross‑functionally across Finance, Accounting, FP&A, IT, and external vendors to deliver scalable treasury solutions that support business growth, system modernization, and acquisition integration. We are committed to automation, risk mitigation, and best‑in‑class treasury operations.

YOU ARE

A hands‑on treasury leader who thrives in complex, fast‑paced environments and enjoys owning both strategy and execution. You bring deep payments and banking expertise, are highly detail‑oriented, and are comfortable leading large‑scale system implementations and integrations. You are a problem solver who values automation, strong controls, and cross‑functional collaboration, and you operate confidently as a trusted partner to senior stakeholders.

Your Day‑to‑day Treasury Operations & Payments
  • Lead daily treasury operations including cash positioning, liquidity management, and bank account administration.
  • Oversee payment processing across ACH, wire transfers, lockbox, retail payments, and online bill payment platforms.
  • Supervise remittance processing workflows to ensure accuracy, completeness, and strong internal controls.
  • Prepare, review, and release ACH batches and wire transfers in accordance with approval matrices.
  • Manage positive pay decisioning, exception resolution, and fraud mitigation efforts.
  • Promote adoption of electronic payment strategies, including ACH direct deposit.
Workday, Systems & M&A Integration (Primary Focus)
  • Serve as the treasury lead for the implementation, configuration, and ongoing optimization of Workday, including treasury workflows, bank connectivity, payment processing, and user access controls.
  • Lead treasury integration activities for acquisitions, including onboarding new legal entities, establishing bank accounts, and migrating payment processes.
  • Partner with Accounting, Finance Transformation, IT, and external vendors to ensure seamless system transitions and post‑close stabilization.
  • Support testing, validation, and deployment of treasury and payment functionality during system changes.
Cash Flow Forecasting & Liquidity Management
  • Assist in preparing and maintaining short‑term and medium‑term cash flow forecasts across PROG Holdings.
  • Partner with FP&A, Accounting, Finance, and business teams to gather inputs, validate assumptions, and improve forecast accuracy.
  • Provide visibility into liquidity trends, payment timing, and cash risks to support informed decision‑making.
Automation & Process Improvement
  • Identify and implement automation opportunities across treasury and finance, including payments, reconciliations, reporting, and bank integrations.
  • Drive initiatives to replace manual and spreadsheet‑driven processes with scalable, system‑based…
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