Treasury Manager
Listed on 2026-02-06
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Finance & Banking
Financial Manager, Corporate Finance, Risk Manager/Analyst, CFO -
Management
Financial Manager, Risk Manager/Analyst, CFO
Formulated Solutions is redefining the Pharmaceutical and Self-Directed Consumer Healthcare CDMO experience through creativity and invention; delivering our world class Marketing Partners unmatched formulations, innovative packaging and cost effective, reliable supply.
Formulated Solutions is and shall always be a company of people with the knowledge and dedication to provide our Marketing Partners with a single source solution for delivering quality and innovative products to market. We shall embrace changes and new opportunities as a vehicle to continually develop and grow sustainable relationships. As a company we shall never accept anything less than a culture that fosters creativity, growth, and profitability for both our Partners and the company.
Position OverviewFormulated Solutions is seeking a skilled Treasury Manager to join our finance team and oversee our treasury operations, ensuring optimal liquidity, risk management, and financial strategy alignment. The Treasury Manager will be responsible for managing the company’s cash flow, banking relationships, and financial risk management. Reporting directly to the Controller, the selected candidate will play a pivotal role in ensuring that the company’s treasury functions are efficient and aligned with our strategic goals and private equity stakeholders' expectations.
Key Responsibilities Cash Management- Oversee daily cash management, including cash flow forecasting and optimization.
- Consistent preparation of short and long-term weekly cash forecasts
- Manage cash positioning to ensure liquidity requirements are met and surplus cash is effectively invested.
- Develop and support improvements to treasury policies, procedures and controls
- Create and route for approval cash disbursements including checks, ACH and wire payments
- Monthly reconciliation of all company bank accounts
- Implement and maintain cash management policies and procedures.
- Effectively work with and support internal business partners including AR, AP, legal, tax and IT
- Oversee day-to-day operations of AP and AR departments
- Improve the current 13-week Cash Flow forecasting process with ownership for process
- Develop and manage relationships with banks and financial institutions.
- Oversee bank account management, including opening, closing, maintenance and signatory updates.
- Evaluate and recommend banking products, services and platforms as appropriate.
- Responsible for all bank compliance and covenant reporting
- Identify and manage financial risks, including interest rate, foreign exchange, and credit risks.
- Monitor and analyze risk exposure and recommend appropriate risk management strategies.
- Manage the company’s debt portfolio, including debt compliance, covenant monitoring, and refinancing activities.
- Oversee treasury operations and ensure accurate and timely reconciliation of cash transactions.
- Implement and maintain treasury systems and processes for efficiency and accuracy.
- Effectively work with and support internal business partners including AR, AP, legal, tax and IT
- Work with internal and external auditors
- Support special projects and M&A activities
- Prepare and present treasury reports to senior management and private equity stakeholders.
- Daily cash positioning and reporting
- Track cash investment activities
- Ensure accuracy of interest expense payments
- Periodic cost review and alignment of bank fees
- Provide analysis and recommendations on liquidity, financial risk, and investment opportunities.
- Support the preparation of financial models related to treasury functions.
- Ensure compliance with financial regulations, policies, and procedures.
- Develop and maintain internal controls to safeguard company assets and ensure accurate reporting.
- Prepare, review and maintain SOX compliance within the department; ensure proper controls exist over cash receipts, disbursements and general treasury activities
- Contribute to the development and execution of the company’s financial strategy.
- Support strategic initiatives by providing insights into cash flow and financing requirements.
- Devel…
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