Senior Accounting & Treasury Manager

CRST The Transportation Solution, Inc.

$90K — $110K *
Legal & Accounting
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting, Finance, or a related field
  • 5+ years of accounting, treasury, or finance experience, including team leadership
  • Experience managing cash, banking relationships, or treasury functions
  • Strong knowledge of accounts payable and cash application processes
  • Ability to make independent financial and operational decisions
  • Proficiency with ERP and accounting systems

Responsibilities

  • Drive day-to-day treasury and cash management decisions including bank relations and liquidity
  • Lead and manage a team in accounts payable and cash application functions
  • Oversee working capital performance and develop strategies for cash flow improvement
  • Initiate process improvements and automation in treasury and accounts payable
  • Collaborate with Procurement on vendor payment terms and working capital initiatives
  • Review and approve financial decisions within delegated authority
  • Evaluate and identify opportunities for operational improvements in related processes
  • Prepare and analyze cash flow forecasts and working capital reports
  • Support audit requests related to treasury and accounts payable functions
  • Train and develop team members for enhanced capability and succession plans
  • Assist finance leadership in capital allocation and cash-related decisions
  • Communicate priorities and process changes effectively to the team and partners
  • Ensure reliable attendance and meet business demands

Benefits

  • Comprehensive medical, dental, and vision coverage
  • Prescription drug and telemedicine services
  • Company-paid life and disability insurance
  • Retirement savings plan with company match
  • Paid time off, holidays, and parental leave
  • Additional voluntary benefits and employee discounts
Full Job Description
If you enjoy solving problems, improving processes and making an impact, this role is for you.

Headquarters: Cedar Rapids, IA

Position Location: Cedar Rapids, IA

The Senior Accounting & Treasury Manager owns accounts payable, cash application, and treasury and cash management as a defined segment of the Accounting Services function. This role independently drives day-to-day treasury and banking decisions within an assigned delegation of authority, owns working capital and cash flow performance, and leads a team of individual contributors delivering these functions. This role partners closely with finance leadership on cash and capital decisions.

Compensation: Starting Wages (Pay Bi-Weekly) *A final amount is dependent on factors including prior relevant experience, knowledge, and location. Typically, selected candidates are hired at a rate between the minimum and midpoint of the range.

Benefits: Comprehensive package including medical, dental, and vision coverage; prescription drug and telemedicine services; company-paid life and disability insurance; retirement savings with company match; paid time off, holidays, and parental leave; plus additional voluntary benefits and employee discounts.

Essential Duties & Responsibilities

  • Treasury and Cash Ownership: Independently own and drive day-to-day treasury and cash management decisions, including banking relationships, cash positioning, and liquidity, within an assigned delegation of authority
  • Team Leadership: Lead and direct a team of individual contributors across accounts payable and cash application, setting priorities, managing performance, and ensuring service levels are met
  • Working Capital Ownership: Own working capital and days payable outstanding (DPO) performance, developing and executing strategies to improve cash flow and payment efficiency
  • Process Improvement and Automation: Lead process improvement and automation initiatives across accounts payable, cash application, and treasury, evaluating and implementing technology to increase scalability and reduce manual effort
  • Vendor and Cross-Functional Partnership: Partner with Procurement and other business partners on vendor payment terms and related working capital initiatives
  • Delegation of Authority: Review and approve treasury, banking, and routine invoice-related decisions up to an assigned delegation of authority, escalating items above that threshold as appropriate
  • Upstream and Downstream Process Ownership: Evaluate processes upstream and downstream of accounts payable, cash application, and treasury to identify opportunities for broader operational improvement
  • Forecasting and Reporting: Prepare and review cash flow forecasts, working capital reporting, and related analysis for finance leadership
  • Audit Support: Support internal and external audit requests related to accounts payable, cash application, and treasury
  • Talent Development: Develop and mentor team members, building capability and supporting succession within the team
  • Capital Decision Partnership: Partner with finance leadership on capital allocation and cash-related decision-making as an independent contributor to those discussions
  • Communication: Communicate performance, priorities, and process changes to the team and to cross-functional partners
  • Accountability and Reliability: Maintain regular and reliable attendance while performing other duties as assigned to support team and business needs


Required Qualifications:

  • Education: A four-year degree in Accounting, Finance, or a related field
  • Experience: 5+ years of progressive experience in accounting, treasury, or finance, including experience leading a team
  • Treasury Knowledge: Demonstrated experience managing cash, banking relationships, or treasury functions
  • Process Knowledge: Strong working knowledge of accounts payable and cash application processes
  • Independent Judgment: Ability to independently exercise judgment on financial and operational decisions within a defined delegation of authority
  • Systems Proficiency: Proficiency with ERP and accounting systems
  • Physical Requirements: Work is performed in an office environment. Activities include sitting, standing, walking, and using standard office equipment. Reasonable accommodations may be provided


Preferred Qualifications:

  • Certification: CPA license
  • Education: A master's degree in Accounting, Finance, or a related field
  • Industry Depth: Experience in transportation, logistics, or a related industry
  • Systems Proficiency: Experience with treasury management systems and accounts payable automation tools
  • Process Leadership: Demonstrated success leading process improvement or automation initiatives


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