The Manager, Accounts Receivable & Treasury will lead the company’s end-to-end collections strategy and oversee short-term and medium-range liquidity management in a complex, fast-growing, private-equity-backed environment. This role is critical to optimizing cash conversion, mitigating credit risk, and ensuring the company maintains adequate liquidity to support operations, growth initiatives, and debt service obligations. The role partners closely with Finance, Sales, Client Services, and Executive Leadership to drive disciplined cash management, transparent forecasting, and scalable processes.
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Job Type
Full-time
Career Level
Mid Level