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Treasury Manager

Job in Spartanburg, Spartanburg County, South Carolina, 29302, USA
Listing for: Security Finance
Full Time position
Listed on 2026-01-12
Job specializations:
  • Finance & Banking
    Financial Manager, Risk Manager/Analyst, Corporate Finance, Financial Compliance
  • Management
    Financial Manager, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 100000 - 125000 USD Yearly USD 100000.00 125000.00 YEAR
Job Description & How to Apply Below

Treasury Manager

Full-Time | Corporate Office

About Security Finance

Security Finance is a long‑standing, stable leader in the consumer finance industry, serving customers across the United States for more than 60 years. We are committed to delivering exceptional service, investing in our communities, and helping our customers build stronger financial futures. If you are looking for a career with a company known for stability, growth, and promoting from within, this could be the perfect opportunity.

Step into a role where your attention to detail truly matters. In this position, you will keep our central bank accounts on track by monitoring activity, reconciling balances, and handling essential accounting work from posting and updates to routine audits. It is a steady, hands‑on role that keeps the financial engine running smoothly and gives you room to grow your skills.

What

You Will Do

If you thrive at the intersection of strategy, controls, and operational execution, this role puts you in the driver’s seat of a high‑volume, multi‑location treasury operation. You will own daily cash activity, shape long‑term cash strategy, and lead a team responsible for keeping more than 700 branch locations running smoothly.

This is not a back‑office role. You will be a key financial partner to senior leadership, with visibility into cash trends, risk exposure, and growth planning—while driving process improvements and automation that modernize how treasury operates.

You will have primary responsibility for one or more of the below activities and provide backup support for others:

  • Lead treasury strategies to ensure sufficient liquidity to meet short‑term capital requirements.
  • Review, initiate, and approve wire and ACH transactions.
  • Contribute to long‑term corporate cash planning in support of strategic business objectives.
  • Oversee treasury systems and drive process improvements focused on efficiency, accuracy, and automation.
  • Direct all cash management activities for branch operations, including daily reconciliation for 700+ locations using electronic cash management systems; analyze variances and resolve discrepancies.
  • Manage daily branch cash operations, monitoring balances and determining funding or withdrawal needs.
  • Oversee the opening and closure of bank accounts in accordance with operational and regulatory requirements.
  • Monitor, investigate, and resolve fraudulent activity related to branch bank accounts and electronic payment channels.
  • Manage the reconciliation of the live check process to ensure timely and accurate loan recording; oversee fraud affidavit filing and resolution.
  • Oversee reconciliation of all electronic payments to bank reports, including ACH, remote payments, debit card disbursements, lockbox activity, and card payments.
  • Manage centralized and stand‑alone returned check processes, ensuring compliance with company policies and procedures.
  • Oversee the unclaimed property (escheat) process and all required regulatory reporting.
  • Manage centralized purchasing of branch banking supplies, including checks, deposit slips, stamps, and deposit bags.
  • Provide support for internal and external financial audits.
  • Prepare and oversee reporting for senior management and key stakeholders on cash position, trends, and potential risks.
  • Administer treasury and corporate cash management policies and procedures, ensuring compliance with internal controls.
  • Lead, develop, and manage treasury staff with full authority over hiring, performance management, and personnel decisions.
  • Build and maintain strong relationships with banking partners, debit card providers, and reconciliation software vendors; negotiate fees and ensure compliance with bank covenants.
What You Need to Succeed
  • Bachelor’s degree in Accounting or related field.
  • 6+ years of experience leading treasury and cash management functions.
  • Proven people leadership with full responsibility for staff decisions.
  • Strong command of treasury management systems and financial software.
  • Clear, confident communicator who can translate complex cash concepts.
  • Experience in consumer finance is a plus.
  • Certified Treasury Professional (CTP) preferred.
Why You Will Love Working With Us

Security…

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