Treasury & Accounts Payable Manager

YELM US Associates, LLC

$110K — $120K *
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Accounting, Finance, or Business
  • 4+ years of treasury or cash management experience
  • Experience in treasury and finance within a home care setting
  • Familiarity with multi-entity organizations
  • Knowledge of managing multiple bank accounts
  • Preference for candidates with Accounts Payable supervision experience
  • Strong analytical and organizational skills

Responsibilities

  • Manage daily banking activities across multiple entities
  • Monitor and optimize daily cash balances
  • Prepare short- and long-term cash flow forecasts
  • Coordinate intercompany cash movements
  • Initiate and approve various electronic transactions
  • Supervise a small Accounts Payable team
  • Prepare and analyze cash reports and treasury dashboards

Benefits

  • Comprehensive Health, Vision, Dental Benefits
  • 401k Retirement plan with Employer Match
  • Voluntary Life and Critical Illness Insurance options
  • Generous paid time off and sick leave
Full Job Description
Requirements

Salary: $110,000 - $120,000 per year

Location: 1000 Gates Avenue, Brooklyn, NY, 11221.

Schedule: Monday-Friday, 9:00 AM - 5:00 PM In Office, with the option to work remotely on Fridays.

The Treasury Manager is responsible for the daily treasury operations of a multi-entity organization with approximately 15 active companies and numerous banking relationships. This includes direct oversight of a small Accounts Payable department. In addition, the position will oversee cash management, banking activities, cash forecasting, debt administration, credit card programs all while ensuring strong internal controls and efficient cash utilization.

This is an operational treasury role focused on execution rather than bank relationship management. The position works closely with the Controller, accounting team, and senior management.

Essential Responsibilities:

Treasury & Cash Management
  • Manage all daily banking activities across multiple companies and bank accounts.
  • Monitor daily cash balances and optimize cash positioning.
  • Prepare and maintain short-term and long-term cash flow forecasts.
  • Coordinate intercompany cash movements and funding requirements.
  • Initiate and approve ACH, wire transfers, positive pay, and other electronic banking transactions.
  • Maintain banking portals, user access, and payment controls.
  • Ensure adequate liquidity to meet operational needs.

Accounts Payable Oversight
  • Supervise a small Accounts Payable team.
  • Ensure timely processing of vendor invoices and payments.
  • Monitor payment approvals and cash disbursement schedules.
  • Improve AP processes and internal controls.

Banking Operations
  • Maintain banking records and account documentation.
  • Open, close, and maintain bank accounts as directed.
  • Resolve banking issues and transaction exceptions.
  • Monitor bank fees and recommend process improvements.
  • Ensure compliance with internal treasury policies.

Debt Administration
  • Track loans, lines of credit, and financing arrangements.
  • Monitor debt covenants, payment schedules, and maturities.
  • Coordinate principal and interest payments.
  • Maintain loan amortization schedules.
  • Assist with lender reporting requirements.

Credit Card Administration
  • Manage corporate credit card programs.
  • Monitor spending limits and cardholder compliance.
  • Review and reconcile monthly credit card activity.
  • Administer new card requests and cancellations.

Reporting & Analysis
  • Prepare daily, weekly, and monthly cash reports.
  • Develop cash flow forecasts and variance analyses.
  • Produce treasury dashboards and management reports.
  • Analyze cash trends and recommend process improvements.
  • Support month-end and year-end closing activities.
  • Assist with audit requests related to treasury activities.


Qualifications:
  • Bachelor's degree in Accounting, Finance, or Business.
  • 4+ years of treasury, finance, or cash management experience.
  • Treasury or finance experience in home care.
  • Experience in a multi-entity organization.
  • Experience managing numerous bank accounts and intercompany cash movements.
  • Continuous improvement mindset with a focus on automation and process efficiency.
  • Experience supervising Accounts Payable staff preferred.
  • Strong understanding of banking operations and electronic payment systems.
  • Experience administering loans and debt schedules.
  • Excellent analytical and organizational skills.


Technical Skills
  • Advanced Microsoft Excel (pivot tables, XLOOKUP, Power Query preferred, complex formulas).
  • Experience with ERP systems (Microsoft Dynamics, Sage, NetSuite, SAP, Oracle, or similar). Sage preferred.
  • Proficiency with online banking platforms and treasury management systems.
  • Strong financial reporting and forecasting capabilities.

Benefits

We offer the Ultimate employee perks!
  • Comprehensive Health, Vision, Dental Benefits
  • 401k Retirement plan + Employer Match
  • Voluntary Life, Critical Illness, Group Hospital Indemnity, Accident Insurance
  • Generous paid time off, sick time + more!


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