Job Description
We are seeking a results-oriented and strategic
Treasury Manager to join our client’s global finance team. This role will be responsible for managing the company’s cash, liquidity, foreign exchange, and banking relationships while supporting global treasury operations and risk management strategies.
This is a critical role for someone who thrives in a fast-paced, international environment and wants to make a measurable impact on the financial health and strategic direction of the organization.
Key Responsibilities of the
Treasury Manager - Manage global cash positioning, forecasting, and liquidity planning across multiple currencies and regions.
- Optimize working capital by improving cash conversion cycles and supporting intercompany funding strategies.
- Oversee day-to-day banking operations, ensuring compliance with internal controls and global treasury policies.
- Maintain and strengthen relationships with banking partners and financial institutions.
- Develop and execute foreign exchange risk management strategies and support hedging activities.
- Partner with Accounting, Tax, Legal, and regional Finance teams to ensure alignment on treasury-related initiatives.
- Lead implementation and enhancement of treasury systems, bank platforms, and automation tools.
- Ensure compliance with internal policies, external regulations, and SOX controls.
- Support capital structure planning, intercompany loans, and global funding needs.
- Assist in the preparation of treasury-related reports for senior management and board-level presentations.
Qualifications of the
Treasury Manager - Bachelor’s degree in Finance, Accounting, Economics, or related field; MBA or CFA/CTP certification a plus.
- 6+ years of progressive experience in corporate treasury or financial risk management, preferably within a multinational CPG or manufacturing company.
- Strong understanding of global cash management, FX risk, liquidity planning, and banking practices.
- Proficiency with treasury management systems (e.g., Ion, Kyriba, SAP Treasury, Quantum) and Excel/financial modeling.
- Excellent analytical, organizational, and communication skills.
- Ability to lead cross-functional projects and collaborate with teams across different geographies.
- Detail-oriented with a strong sense of accountability and ownership.
If you have
Treasury Management experience and are looking to level up your skills with a larger organization, please apply today!
Thank you in advance,
Allee Struve
Recruiting Lead – Management Consulting
LaSalle Network
LaSalle Network is an Equal Opportunity Employer m/f/d/v.
LaSalle Network is the leading provider of direct hire and temporary staffing services. For over two decades, LaSalle has helped organizations hire faster and connect top talent with opportunities, from entry-level positions to the C-suite. With units specializing in Accounting and Finance, Administrative, Marketing, Technology, Supply chain, Healthcare Revenue Cycle, Call Center, Human Resources and Executive Search. LaSalle offers staffing and recruiting solutions to companies of all sizes and across all industries.?
LaSalle Network is the premier staffing and recruiting firm, earning over 100 culture, revenue and industry-based awards from major publications and having its company experts regularly contribute insights on retention strategies, hiring trends and hiring challenges, and more to national news outlets. LaSalle Network offers temporary Field Employees benefit plans including medical, dental and vision coverage. Family Medical Leave, Worker's compensation, Paid Leave and Sick Leave are also provided.?View a full list of our benefits here:
Job Tags
Contract work, Temporary work,