Cash Forecasting & Treasury Systems Manager

TALENT SHIFT LLC•UNAVAILABLE, UNAVAILABLE
•Remote

About The Position

We are looking for a Cash Forecasting & Treasury Systems Manager for our client on a project basis. This role is fully remote.

Requirements

  • Bachelor’s degree or higher in accounting, finance, or other related fields.
  • 5+ of relevant cash management and treasury experience.
  • Qualified applicants must reside in the continental U.S.
  • Must be legally authorized to work in the United States now and in the future. Verification of employment eligibility will be required at the time of hire. Visa sponsorship is not available for this position.

Nice To Haves

  • HighRadius expertise

Responsibilities

  • Lead rollout and adoption of the 13-week cash forecasting solution across business units.
  • Train stakeholders on forecasting processes, reporting requirements, and best practices.
  • Support governance, compliance, and data quality initiatives related to cash forecasting.
  • Partner with treasury, finance, and operational teams to improve forecast accuracy and consistency.
  • Provide HighRadius expertise to help define and optimize future-state treasury processes.
  • Drive change management efforts and serve as a trusted advisor throughout implementation and adoption.

Benefits

  • group health plan benefits
  • 401(K)
  • profit-sharing contributions
  • flexible time off
  • parental leave
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