Insight Global
Treasury Manager
Insight Global, Washington, District of Columbia, us, 20022
The Treasury Managers primary responsibility involves analysis and oversight of corporate banking and credit card management. This position is also responsible for managing business investments, and cash holdings and developing company financial policies and budgets as needed.
What you can do:Serve as a key member of the finance divisionAct as the primary contact for banking partners and internal customers on all treasury matterMentor and develop Treasury AnalystsLead all aspects of all domestic and international treasury operationsMonitor and lead daily cash positionsEnsure completion of bank reconciliations and balance sheet control accounts each monthEnsure balance sheet reconciliations and verifying G/L postingsOversee the management of short-term investment portfolios to optimize returns while ensuring liquidity needs are metIdentify, assess, and manage financial risks including interest rate, foreign exchange, and liquidity risksEnsure timely filing of covenant certificates and reportingDevelop and implement contingency plans for managing financial crises, including liquidity shortages and market disruptionsAdvocate best practices in Treasury Management and ReportingProvide strategic input on financial planning, capital structure, and funding strategies to support business growth and expansionProvide technical expertise in treasury matters at both operational and strategic levelsContribute to monthly management accounting, ensuring cash reporting is understood for informed decision-making by senior management and the Executive CommitteeProvide input to financial documents on cash and debt disclosuresBuild and maintain cash flow forecast models (daily, weekly, monthly, annual) to ensure sufficient liquidity for operationsCoordinate the monthly cash flow forecasting process, challenging assumptions provided in cash flow returnsLead treasury improvement projects, ensuring the best value and practice across the group, including software automation initiatives
$120,000 - $176,000
We are a company committed to creating diverse and inclusive environments where people can bring their full, authentic selves to work every day. We are an equal opportunity/affirmative action employer that believes everyone matters. Qualified candidates will receive consideration for employment regardless of their race, color, ethnicity, religion, sex (including pregnancy), sexual orientation, gender identity and expression, marital status, national origin, ancestry, genetic factors, age, disability, protected veteran status, military or uniformed service member status, or any other status or characteristic protected by applicable laws, regulations, and ordinances. If you need assistance and/or a reasonable accommodation due to a disability during the application or recruiting process, please send a request to HR@insightglobal. com.
To learn more about how we collect, keep, and process your private information, please review Insight Global's Workforce Privacy Policy: https://insightglobal.com/workforce-privacy-policy/ .Bachelors degree in accounting, Finance, or Business Administration required; Masters degree in relevant field preferredMinimum of ten (10) years of related accounting, cash management, and banking/investment experience, ideally in the aerospace or technology industry preferredCertified Public Accountant (CPA) or Certified Treasury Professional (CTP) certifications preferredExtensive experience in liquidity and cash/treasury managementKnowledge of GAAP (General Accepted Accounting Principles)Experience in Sarbanes-Oxley (SOX) ComplianceExperience in banking and payment procedures (checks clearing, ACHs, wires, etc.)
What you can do:Serve as a key member of the finance divisionAct as the primary contact for banking partners and internal customers on all treasury matterMentor and develop Treasury AnalystsLead all aspects of all domestic and international treasury operationsMonitor and lead daily cash positionsEnsure completion of bank reconciliations and balance sheet control accounts each monthEnsure balance sheet reconciliations and verifying G/L postingsOversee the management of short-term investment portfolios to optimize returns while ensuring liquidity needs are metIdentify, assess, and manage financial risks including interest rate, foreign exchange, and liquidity risksEnsure timely filing of covenant certificates and reportingDevelop and implement contingency plans for managing financial crises, including liquidity shortages and market disruptionsAdvocate best practices in Treasury Management and ReportingProvide strategic input on financial planning, capital structure, and funding strategies to support business growth and expansionProvide technical expertise in treasury matters at both operational and strategic levelsContribute to monthly management accounting, ensuring cash reporting is understood for informed decision-making by senior management and the Executive CommitteeProvide input to financial documents on cash and debt disclosuresBuild and maintain cash flow forecast models (daily, weekly, monthly, annual) to ensure sufficient liquidity for operationsCoordinate the monthly cash flow forecasting process, challenging assumptions provided in cash flow returnsLead treasury improvement projects, ensuring the best value and practice across the group, including software automation initiatives
$120,000 - $176,000
We are a company committed to creating diverse and inclusive environments where people can bring their full, authentic selves to work every day. We are an equal opportunity/affirmative action employer that believes everyone matters. Qualified candidates will receive consideration for employment regardless of their race, color, ethnicity, religion, sex (including pregnancy), sexual orientation, gender identity and expression, marital status, national origin, ancestry, genetic factors, age, disability, protected veteran status, military or uniformed service member status, or any other status or characteristic protected by applicable laws, regulations, and ordinances. If you need assistance and/or a reasonable accommodation due to a disability during the application or recruiting process, please send a request to HR@insightglobal. com.
To learn more about how we collect, keep, and process your private information, please review Insight Global's Workforce Privacy Policy: https://insightglobal.com/workforce-privacy-policy/ .Bachelors degree in accounting, Finance, or Business Administration required; Masters degree in relevant field preferredMinimum of ten (10) years of related accounting, cash management, and banking/investment experience, ideally in the aerospace or technology industry preferredCertified Public Accountant (CPA) or Certified Treasury Professional (CTP) certifications preferredExtensive experience in liquidity and cash/treasury managementKnowledge of GAAP (General Accepted Accounting Principles)Experience in Sarbanes-Oxley (SOX) ComplianceExperience in banking and payment procedures (checks clearing, ACHs, wires, etc.)