Dow Jones

Treasury Manager

Dow Jones$130K — $160K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in finance, accountancy, or business; MBA preferred
  • 5+ years of experience in Treasury operations
  • Strong knowledge of financial instruments and risk management
  • Expertise in global cash management and financial regulations
  • Proficient in Treasury Management Systems (TMS) and EBAM platforms
  • Advanced skills in Google Workspace and Microsoft Office, especially Excel
  • Experience using AI tools for effective decision-making and content validation

Responsibilities

  • Manage daily cash positioning through the Treasury Management System (TMS)
  • Execute daily Treasury operations, including global liquidity and debt management
  • Monitor liquidity needs of the multi-currency global cash pool
  • Support daily investment activities of a centralized portfolio
  • Maintain relationships with global banking partners
  • Oversee debt facility administration and lender compliance
  • Develop treasury reports for senior leadership including cash flow forecasts

Benefits

  • Comprehensive health coverage
  • Retirement plan options
  • Wellbeing resources
  • Flexible working arrangements
  • Diverse optional benefits offerings
Full Job Description

Job Description :

Role: Treasury Manager

Location: NYC 1211 6th Avenue

Hybrid: 3 days a week in office

Position Summary

The Treasury Manager is a key member of the Global Treasury team, responsible for supporting the company's liquidity, funding, risk management, and treasury technology initiatives. This role partners closely with Treasury leadership to optimize global cash visibility, enhance liquidity structures, support financing activities, and drive strategic treasury projects across a complex multinational organization.

The ideal candidate combines strong technical treasury expertise with a strategic mindset and thrives in a fast-paced environment where operational excellence and cross-functional collaboration are very important. This role provides broad exposure to senior Finance leadership, global banking partners, and enterprise-wide initiatives.

Essential Duties and Responsibilities:

Cash & Liquidity Management

 Manage daily cash positioning through the Treasury Management System (TMS) to ensure efficient deployment of capital and adequate funding across the North America sweep structure  Execute daily Treasury operations including global liquidity management, debt management, investments, and intercompany activities

 Monitor and maintain the liquidity needs of the Company's multi-currency global notional cash pool, including related reporting.

Investments & Risk

 Support and monitor daily investment activities pertaining to the Company's centralized investment portfolio (~$1 billion), ensuring compliance with approved investment policy limits, counterparty guidelines, and liquidity requirements.

 Assist in foreign exchange (FX) exposure identification, execution of FX trades (spots or forwards) and support broader hedging strategies.

Banking & Debt

 Maintain relationships with global banking partners and support ongoing banking structure optimization.

 Manager bank account via EBAM, oversee bank portal administration, KYC documentation, and signer maintenance activities.

 Support debt facility administration, borrowing activities, and lender compliance requests.

Reporting & Controls

 Develop and maintain critical treasury reporting for senior leadership, including weekly cash reports, cash flow forecasts, investments, debt, and liquidity metrics.

 Own Treasury SOX controls and policy compliance; coordinate internal and external audit testing activities.

Cross-Functional & Team

 Support automation initiatives led by Treasury leadership, including process automation, cash centralization, and technology-driven reporting enhancements.

 Partner closely with Accounting, Tax, FP&A, Legal, AP, and IT teams to ensure alignment of treasury activities with broader business objectives.

 Serve as a trusted treasury resource for business units and corporate stakeholders globally.  Manage and develop the treasury analyst.

Qualifications & Experience

 Education: Bachelors degree in finance, accountancy or business required. MBA preferred, CFA / CPA / CTP designations a plus.

 Professional Experience: 5+ years of relevant Treasury operational experience with strong knowledge of treasury operations, financial instruments, and risk management principles. Observable business and financial acumen.

 Technical Skills: Deep experience in global cash management and navigating regional/country specific financial regulations and applying them to day-to-day Treasury activities.  Advanced proficiency in Google Workspace and Microsoft Office, with expert-level Excel and PowerPoint skills.

 Experience utilizing Treasury Management Systems (TMS) and Electronic Bank Account Management (EBAM) platforms.

 AI & Technology Proficiency:

o Prompt engineering: Effectively uses AI tools by providing clear instructions, context, and iterative refinement to produce accurate, high-quality outputs for decision making. o Critical evaluation of AI outputs: Applies professional judgment to validate AI-generated content, identify inaccuracies or gaps, and determine when human expertise is required, particularly for sensitive or confidential matters.

Key Competencies

 Strategic Thinking: Ability to effectively analyze complex issues, articulate solutions, and drive data-backed decisions.

 Project Management: Proven ability to handle multiple priorities under tight deadlines and drive cross-functional projects to completion.

 Communication: Strong organizational, interpersonal, and communication skills; comfortable presenting to senior leadership.

 Drive: High energy level and a proactive, outcome-oriented mindset.

Base Pay Range: $130,000 - $160,000 + Bonus

Were committed to offering competitive and flexible compensation to attract top talent. This pay range reflects our good faith estimate for the role and may vary based on a candidates experience, skills, location, and other relevant factors.

For bonus-eligible roles, targets are determined based on multiple considerations, including market benchmarks and individual contributions.

For benefits-eligible roles, we offer a comprehensive and competitive benefits package covering health, retirement, wellbeing, and more, along with optional benefits to meet the diverse needs of our employees.

About Dow Jones

Dow Jones is a global provider of news and business information, delivering content to consumers and organizations around the world across multiple formats, including print, digital, mobile and live events. Dow Jones has produced unrivaled quality content for more than 130 years and today has one of the world?s largest news gathering operations globally. It produces leading publications and products including the flagship Wall Street Journal, America?s largest newspaper by paid circulation; Factiva, Barron?s, MarketWatch, Mansion Global, Financial News, Dow Jones Risk & Compliance, Dow Jones Newswires, and Dow Jones VentureSource.
Learn more about Dow Jones
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