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Manager of Treasury

Job in Fort Worth, Tarrant County, Texas, 76102, USA
Listing for: Overstock.Com
Full Time position
Listed on 2026-07-26
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Corporate Finance
  • Management
    Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 120000 - 180000 USD Yearly USD 120000.00 180000.00 YEAR
Job Description & How to Apply Below

We Go Beyond:
At Bed Bath & Beyond, we believe that everyone should “Be You!”. Bed Bath & Beyond is a community that upholds a culture of understanding, acceptance, and respect. We believe a person’s individuality, traits, beliefs, and characteristics should be valued and embraced. Living by this ethos is essential to the success of our business. Our goal is to foster a more inclusive environment where every employee visibly demonstrates inclusive behaviors and respect for individuals.

Job Scope:
Responsible for leading the company’s treasury function including strategic investing, cash forecasting and management and the daily administration of Treasury operations. Direct supervisory responsibility for Treasury staff employees and their activities.

ESSENTIAL JOB DUTIES
  • Monitors and manages the daily cash position of the company to ensure it is consistent with expected cash flow needs.
  • Evaluates and optimizes capital expenditures, investment opportunities and portfolio management.
  • Develops and manages enterprise rolling 13-week cash forecasts to ensure proper business performance and planning.
  • Manages all financial or compliance risks related to Treasury operations, including SOX and other regulatory compliance as required.
  • Administers the company's banking and investment accounts including assisting internal stakeholders with applications as needed.
  • Functions as company intermediary with banks and Merchant Service processors.
  • Monitors and optimizes investment opportunities within guidelines of approved investment policies.
  • Develops interest, income and expense forecast for annual budget and forecasts.
  • Monitors the maintenance of debt and manages debt compliance according to corporate debt guidelines.
  • Manages the company's insurance programs, including general liability, Property & Casualty, Directors & Officers (D&O) Liability, Cyber/Privacy Liability, Workers' Compensation and all other insurance policies and ensures levels of coverage are appropriate for business operations.
  • Maintain key relationships with insurance brokers and manage annual renewal process.
  • Follows prescribed legal guidelines and requirements.
  • Performs other job-related duties as assigned.
MINIMUM QUALIFICATIONS
  • Required

    Skills and Experience:

    5 years of full-time experience in Treasury management, strategic investing and cash forecasting is required is required.
  • Must have excellent verbal and written communications skills and be able to professionally interact with employees at all levels of the company.
  • Must have proven ability to collaborate with others to understand and complete project goals.
  • Must have excellent time management and decision-making skills and be able to prioritize and organize tasks and projects.
  • Strong analytical and organizational skills with the ability to manage multiple projects simultaneously with competing timelines effectively.
  • Must have proven ability to identify, analyze, and recommend solutions to complex problems.
  • Must be able to pay attention to detail and thrive in a fast-paced, entrepreneurial environment and works effectively and collaboratively across various departments to meet goals and deadlines.
  • Must be proficient with Microsoft Office applications (Word, Excel, and PowerPoint).
  • Must be self-motivated, detail oriented and manage multiple tasks in a fast-paced environment and work independently with little or no direct supervision.
  • Must be able to manage multiple projects concurrently with a strong awareness of common usability methodology.
  • Must demonstrate the ability to function in a team environment where peer cooperation is required to successfully perform job duties.
Preferred Qualifications

Certification as a Treasury Professional Advance degree in relevant discipline

Education/ Licensing/Certification

Graduation from an accredited institution with a bachelor’s degree in Finance, Accounting, Economics or Business or a related field or any combination of education and experience is required.

Physical Requirements

Must be able to sit and/or stand for long periods at a time.

Equal Employment Opportunity

It is company policy to provide equal employment opportunity for all applicants and associates. This policy…

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