Treasury Manager

Unreal Gigs$150K — $175K *
US-AnywhereRemote in United States
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • 5-8 years of treasury or finance experience in a physical-goods or inventory-driven business
  • Advanced Excel / Google Sheets modeling skills; experience with NetSuite is a plus
  • Hands-on experience owning a cash flow model, capable of presenting findings to a CFO
  • Demonstrated ability to work across functions to gather necessary inputs for cash management
  • Familiarity with banking operations including wires, ACH, and online banking
  • Experience in building or improving financial processes rather than just following established ones.

Responsibilities

  • Own and refine the 13-week cash flow model aiming for 95% accuracy.
  • Synthesize various business cycles into a comprehensive cash needs forecast.
  • Translate cash flow model outputs into actionable recommendations for leadership.
  • Maintain daily cash positioning and monitor variances between actuals and forecasts.
  • Collaborate closely with finance, ops, and procurement for timely cash flow inputs.
  • Manage day-to-day banking relationships to ensure adequate liquidity.
  • Design and implement treasury processes and controls from scratch.

Benefits

  • Competitive Salary + Equity Package
  • 401K matching
  • Wellness, learning, and home-office budgets
  • Health, Dental & Vision Medical Plans
  • Tremendous autonomy to set the direction of your work
  • Unlimited PTO
  • Company holidays on the first Friday of every month (Except November & December)
Full Job Description
About the Job:

We are a physical goods business, which means cash management is the operational heartbeat of the company. On top of that, being bootstrapped means cash plays an even bigger role in our strategy. Our Treasury Manager will own the full cash picture: understanding when sales turn into cash, how inventory buys affect our liquidity and translating all of it into a forward-looking view that gives leadership real decision-making confidence.

This is a build role. We have almost no treasury infrastructure today, so your first 90 days will be spent creating the systems, processes, and models from scratch. If that energizes you, read on.

Responsibilities:

Cash Flow Forecasting & Modeling
  • Own and continuously refine the company's 13 week cash flow model to within 95% accuracy-this is your primary deliverable
  • Synthesize the inventory purchase calendar, PO commitment schedule, payroll cadence, tax schedule and all other inflows and outflows into a forward-looking cash needs picture
  • Translate model outputs into clear, actionable recommendations for leadership-you're not just a modeler, you're the person who explains what the numbers mean and what we should do about them
  • Maintain daily cash positioning and monitor actual vs. forecast, tightening the model over time based on variances

Cross-Functional Partnership
  • Work closely with our finance and operations teams to ensure cash flow inputs are accurate and timely
  • Partner with the procurement and ops teams to stay ahead of inventory purchase cycles and PO commitments
  • Collaborate with accounting to align on tax payment timing, accruals, and reconciliations
  • Be the connective tissue between functions

Banking & Liquidity Management
  • Manage day-to-day banking relationships and ensure adequate liquidity across accounts
  • Execute and authorize wires, ACH payments, and other treasury transactions with precision and appropriate controls
  • Monitor credit facilities and report on covenant compliance
  • Optimize idle cash-know when to sweep, when to hold, and when to draw

Controls, Process & Documentation
  • Design and implement treasury policies, procedures, and internal controls from the ground up
  • Maintain meticulous documentation for all treasury transactions, approvals, and decisions
  • Ensure compliance with applicable regulations, tax payment requirements, and audit standards
  • Proactively Identify process gaps and close them

Risk Management
  • Identify and flag cash flow risks proactively
  • Manage basic FX exposure relevant to our business through a practical hedging strategy
  • Support insurance and counterparty risk monitoring

Requirements

You Have:
  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • 5-8 years of treasury or finance experience, with meaningful time inside a physical-goods or inventory-driven business (retail, CPG, manufacturing, distribution, or similar)
  • Advanced Excel / Google Sheets modeling skills; experience with NetSuite a plus
  • Hands-on experience owning or co-owning a cash flow model. You've run it under pressure, explained it to a CFO, and improved it based on real outcomes
  • Demonstrated ability to work across functions (ops, procurement, accounting) to pull the inputs you need
  • Deep comfort with banking operations: wires, ACH, account management, online banking platforms
  • Experience building or significantly improving financial processes, not just operating inside established ones


You Are:
  • A strong communicator: able to translate a complex cash model into a clear two-minute update for a busy executive
  • Trustworthy and discreet: you will have access to sensitive financial information and you understand what that means
  • Process-oriented and detail-obsessed: reconciliation and documentation are not overhead for you, they are how you operate
  • Comfortable owning a decision and defending your analysis: you don't hedge everything
  • Energized by ambiguity and blank-sheet-of-paper problems: you see building as an opportunity, not a burden

Benefits

Our competitive compensation package includes:
  • Competitive Salary + Equity Package
  • 401K matching
  • Wellness, learning, and home-office budgets
  • Health, Dental & Vision Medical Plans
  • Tremendous autonomy to set the direction of your work
  • Unlimited PTO
  • Company holidays on the first Friday of every month (Except November & December)


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