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Treasury Manager

Job in Town of Poland, Jamestown, Chautauqua County, New York, 14701, USA
Listing for: INSTANT IMPACT
Full Time position
Listed on 2026-07-20
Job specializations:
  • Finance & Banking
    Corporate Finance, Risk Manager/Analyst, Financial Compliance, Financial Manager
Salary/Wage Range or Industry Benchmark: 47482.2 - 73861.2 USD Yearly USD 47482.20 73861.20 YEAR
Job Description & How to Apply Below
Location: Town of Poland

Treasury Manager

Department: Client Role

Employment Type: Full Time

Location: Poland, PL

Description

We are currently representing a leading global Financial Services firm in the appointment of high‑calibre professionals as part of a period of strategic growth and investment. Our client operates at the intersection of corporate, fiduciary and regulatory services, partnering with private equity houses, investment managers and international financial institutions. Backed by long‑term institutional investment and an established global brand, the firm is scaling its capabilities, technology and international footprint.

As they continue to scale, our client is looking for an ambitious Treasury Manager to establish and lead the Treasury function. This is a unique opportunity for either an experienced Treasury Manager ready to take full ownership of a global remit or a Treasury professional with strong cash, liquidity and risk exposure who is looking to step up into their first Treasurer role.

Key Responsibilities

Reporting to the CFO, you will take responsibility for all Treasury activities across the business. This is a hands‑on, high‑visibility role combining strategic thinking with operational delivery.

  • Lead on cash management and liquidity planning, ensuring robust forecasting and optimal working capital utilisation
  • Build and manage banking relationships, supporting funding and financing initiatives
  • Develop and implement a Treasury framework, including policies, controls and governance
  • Drive financial risk management, with oversight of liquidity, FX, interest rate and counter party risks
  • Create clear, insightful reporting and dashboards for senior stakeholders
  • Partner closely with Finance and the CFO on strategic initiatives, acquisitions and business growth
Skills, Knowledge and Expertise
  • Strong experience in cash management, liquidity forecasting and financial risk management gained within financial services, professional services or consulting
  • Previous exposure to international banking structures and multi‑entity organisations.
  • Experience implementing Treasury Management Systems (TMS) or treasury technology solutions would be highly desirable
  • Able to demonstrate a professional Treasury qualification (AMCT/MCT) or Accountancy qualification (ACA, ACCA, CIMA) or equivalent, would be highly desirable
  • Able to demonstrate confidence working with senior stakeholders and influencing decision‑making
  • A proactive, self‑starting mindset, with the ability to operate independently
  • Strong analytical capability and advanced Excel skills
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