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Treasury Manager

Job in Mattoon, Coles County, Illinois, 61938, USA
Listing for: Rural King
Full Time position
Listed on 2026-07-24
Job specializations:
  • Finance & Banking
    Corporate Finance, Financial Manager, Financial Compliance
  • Management
    Financial Manager
Salary/Wage Range or Industry Benchmark: 72500 - 85000 USD Yearly USD 72500.00 85000.00 YEAR
Job Description & How to Apply Below

Overview About Us

Rural King is America’s Farm and Home Store, providing essentials to the communities we serve. With a wide array of necessities ranging from food and feed to farm and home products, Rural King serves over 150 locations across 17 states and is constantly expanding
. Our annual sales exceed $2.5 Billion
, and our heart beats in Mattoon, IL, home to our corporate office, distribution center, and flagship store.

One thing our customers appreciate is our unique shopping experience, complete with complimentary popcorn and coffee
. It's just one way we show our appreciation for their support.

At Rural King, we value our associates and strive to create a positive, rewarding workplace. We offer growth opportunities, competitive benefits, and a people-first environment where dedicated individuals come together to serve rural communities passionately. Join us, and you'll find not just a job but a chance to grow professionally
, contribute meaningfully, and make a difference in the lives of those we serve.

How we reward you

401(k) plan that provides a 100% match on the first 3% of your contributions and 50% of the next 2%

Healthcare plans to support your needs

Virtual doctor visits

Access to Centers of Excellence with Barnes Jewish Hospital and Mayo Clinic’s Complex Care Program

15% Associate Discount

Dave Ramsey’s Smart Dollar Program

Associate Assistance Program

RK Cares Associate Hardship Program

24/7 Chaplaincy Services

Company paid YMCA Family Membership

Responsibilities What You’ll Do

The purpose of the Treasury Manager is to oversee all cash reconciliations, develop and maintain cash reporting, and forecast cash for predefined periods for the organization.

  • Supervise every aspect of the company’s cash accounting function.
  • Lead development and coordination of cash flow forecasting, including analysis of drivers of actual performance.
  • Manage Cash Management deployment and maintenance to ensure utilization for efficient bank reconciliations.
  • Partner with Finance Operations, FP&A, and others to develop a working capital model to drive efficient functional capital management.
  • Manage corporate card payment strategy, including card-type optimization initiatives, to minimize interchange expense and maximize overall card program value.
  • Assist/prepare presentation materials for senior management and board of directors.
  • Collaborate with teams across the finance organization to build dashboards/reports that provide insights and drive efficiencies in forecasting.
  • Develop cash requirements for annual cash outlays for inventory, fixed assets, and overall operations.
  • Oversee data flow and the process between accounting systems and sub-systems.
  • Coordinate with external auditors to provide supporting information for various transactions posting to the general ledger.
  • Review balance sheet and general ledger accounts.
  • Predict cash requirements and cash position through analysis of budgetary needs and financial reports.
  • Implement automation and process improvements to reduce redundancy.
  • Manage and cultivate banking relationships, serving as the primary liaison with financial institutions to resolve account issues, address inquiries, and negotiate favorable terms and services.
  • Manage accurate, reliable, and timely reporting for internal requirements.
  • Ensure compliance with required external and internal controls.
  • Provide metrics and specific reporting to senior management.
  • Exemplify the leadership behaviors taught in Rural King’s Thrive Leadership Program.
  • Use discretion and independent judgment in daily decisions while maintaining a high level of confidentiality and professionalism.
  • May be required to cross train and perform other duties as assigned.
Supervisory Responsibilities

None

Qualifications Essential Qualities for Success
  • 5 years of experience within any treasury function and bachelor’s degree in accounting or finance or equivalent combination of experience and education.
  • Proficient with Microsoft Office Suite or related software.
  • Highly proficient in Microsoft Excel.
  • Proficient with or the ability to quickly learn report writing systems.
  • Excellent verbal and written interpersonal and communication skills.
  • Strong understanding of retail…
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