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Cash Manager

Job in Plano, Collin County, Texas, 75086, USA
Listing for: Catalyst Brands
Full Time position
Listed on 2026-07-06
Job specializations:
  • Finance & Banking
    Risk Manager/Analyst, Financial Compliance, Financial Reporting, Financial Analyst
Salary/Wage Range or Industry Benchmark: 81000 - 135000 USD Yearly USD 81000.00 135000.00 YEAR
Job Description & How to Apply Below

Overview

Catalyst Brands is a multi-billion-dollar retail leader operating a diverse portfolio of iconic lifestyle brands. We are seeking a highly analytical, proactive, and disciplined Treasury Cash Manager to lead daily liquidity operations and safeguard corporate financial assets across our five-brand portfolio.

Reporting directly to the VP Treasurer, this high-impact position is central to our treasury operations, cash flow forecasting, systems administration, and debt management. This is a rare opportunity for an ownership-minded treasury professional to gain direct executive exposure, drive continuous improvement, and strengthen financial controls in a fast-paced, multi-brand corporate environment.

Responsibilities

Liquidity Management & Cash Positioning

  • Daily Cash Positioning: Lead daily cash positioning across five distinct brand portfolios, managing wire transfers, intercompany fund movements, and overall cash mobility.
  • Liquidity Reporting: Deliver accurate daily liquidity reporting to provide executive leadership with precise visibility into available cash, borrowing capacity, and near‑term funding needs.
  • Cash Flow Forecasting: Own the design, coordination, and execution of daily, weekly, and monthly cash flow forecasting models; validate inputs, analyze variances, and identify liquidity trends.

Treasury Systems & Banking Operations

  • Systems Administration: Serve as the primary system administrator for banking portals and our Kyriba Treasury Management System (TMS), managing user controls, security, and troubleshooting.
  • Bank Relationship Management: Maintain the Corporate Bank Account Database and flow‑of‑funds documentation; coordinate bank account maintenance requests, and analyze banking practices to optimize processes and reduce fees.

Debt Administration & Financial Accounting

  • Debt Tracker Management: Maintain the Asset‑Based Lending (ABL) debt tracker; support ongoing debt administration activities and ensure compliance with lender covenants.
  • Month‑End Reconciliation: Prepare and book debt and interest entries at month‑end, and perform rigorous reconciliations of related general ledger accounts to ensure accurate accounting.

Controls, Fraud Prevention & Special Projects

  • Fraud & Risk Mitigation: Verify vendor wiring instructions during initial setup to enforce strict internal controls and prevent payment fraud.
  • Treasury Innovation: Drive process enhancements, support high‑impact cross‑functional treasury projects, and contribute to company‑wide strategic initiatives.
Qualifications

Required

  • Professional

    Experience:

    Minimum of 5 years of progressive experience in cash management, treasury operations, banking operations, corporate finance, or a related discipline.
  • Education: Bachelor’s degree in Finance, Accounting, Business Administration, or a related field.
  • Technical

    Skills:

    Advanced Microsoft Excel modeling capabilities (complex data analysis, cash forecasting models, and reconciliations).
  • Systems & Platforms: Practical experience managing corporate banking portals and treasury workflows.
  • Compliance & Integrity: Uncompromising integrity, discretion, and sound judgment. Must successfully complete a comprehensive background and credit check.

Preferred

  • Industry

    Experience:

    Prior experience working in a multi‑entity, multi‑brand, or complex retail environment.
  • Systems Expertise: Administrative‑level experience with Kyriba or a similar class‑leading Treasury Management System (TMS).
  • Credentials: Active Certified Treasury Professional (CTP) designation.
  • Debt & Accounting Expertise: Strong background in debt administration, ABL facilities, and general ledger reconciliation.
Benefits
  • Executive Exposure: Report directly to the VP, Treasurer, and work closely with senior leadership across five major brands.
  • Dynamic Environment: Manage treasury operations for a multi‑billion‑dollar portfolio, offering unparalleled complexity and professional growth.
  • Modern Workspace: Enjoy a collaborative and flexible hybrid work environment at our corporate headquarters.
  • Comprehensive Compensation and Benefits: Includes medical/dental/vision, term life insurance, flex‑PTO and paid holidays, 401(k) Savings Plan with company match, and an associate discount on all of our merchandise.
Pay Range

USD $81,000.00 - USD $ /Yr.

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