Treasury Manager - Global Cash & Liquidity Lead; Hybrid
Listed on 2026-06-21
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Finance & Banking
Corporate Finance, Financial Manager, Risk Manager/Analyst, CFO
Career Opportunities with Depot Connect International
Discover a career at Depot Connect International (DCI), a global leader in the Tank/ISO Tank Container Services and Tank Trailer Parts industry. We're more than just a service provider; we're a unified team combining the expertise of industry leaders Quala, Boasso Global, and PSC
. Headquartered in Tampa, Florida, with over 160 locations worldwide, our team of over 3,500 employees excels in offering a multitude of mission‑critical services.
We are seeking a Treasury Manager to join our team and provide hands‑on support in overseeing daily cash operations, liquidity, and investments. This role will ensure compliance and internal controls, lead bank account management, provide mentorship, and support the company’s broader financial strategy.
LocationThis is a hybrid position with a requirement of 4 days per week in office at our headquarters in the Channelside area of Tampa.
Key Responsibilities- Mentorship: Lead and mentor a treasury team member, ensuring the accurate and timely execution of all daily cash activities.
- Strategic Initiatives: Drive initiatives to enhance forecasting precision, operational efficiency, and management reporting.
- Working Capital Management: Partner with cross‑functional teams to meet working capital goals, specifically driving AP and AR initiatives to optimize DPO and DSO.
- Ad Hoc Projects: Lead specialized treasury projects and cross‑functional initiatives as required.
- Daily Cash Management: Lead daily cash operations, investment activities, cash forecasting, and liquidity reporting.
- Payment & Vendor Authorization: Act as a secondary authorizer for the release of wire/ACH/check payments and provide periodic vendor approvals to ensure secure payment workflows.
- Month‑End Support: Support month‑end close activities and ensure timely reconciliation of treasury‑related items.
- Global Banking: Manage N. America banking relationships, including account documentation, KYC compliance, and the maintenance of authorized signers.
- Fee Analysis: Perform regular bank fee analysis to ensure pricing accuracy and identify cost‑saving opportunities across all service providers.
- Systems & Automation: Oversee treasury systems and champion process improvements focused on scalability, accuracy, and automation.
- Internal Controls: Build out treasury processes and ensure strict adherence to maintain secure controls and safeguard company assets.
- Experience: 5+ years’ Treasury experience in a multinational company.
- Education: Bachelor’s degree in finance, Accounting, or Economics. CTP (Certified Treasury Professional) or other certifications highly preferred.
- Treasury
Experience:
Strong proficiency in daily cash positioning, liquidity management, cash forecasting, and process improvements. - Technical
Skills:
Proficiency in ERP‑to‑bank integrations and data visualization to drive automated reporting and analytical problem‑solving. - Communication: Strong interpersonal skills for managing global bank relationships and collaborating cross‑functionally.
- Leadership: Proven ability to mentor a team member and build out scalable treasury processes.
- System
Experience:
Previous experience with Dynamics Great Plains or a TMS is a plus. - Medical, dental and vision insurance
- 401(k) with generous employer match
- Paid time off, including 10 paid holidays
- Optional health savings account & flexible spending account
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