The Treasury Finance Manager is involved in the optimization of daily cash flow for the Corporation to pay operating expenses and minimize debt and interest on borrowed funds. In addition, they are responsible for the development, implementation, and maintenance of Treasury systems and processes, as well as general support of cash management and financing activities. They will perform cash flow analytics, data and systems management, and data driven financial analysis and risk assessment. Requirements include an understanding of treasury or finance, exceptional analytical skills, and the ability to articulate findings effectively. The position requires a person who is great with details, accurate, patient, reliable and can concentrate to gain a strong understanding of cash operations. The person participates in various aspects of the company’s treasury group, including identifying and implementing new cash strategies, processes, and technologies. The position involves a hybrid work arrangement, with onsite attendance at our Salt Lake City metro area office expected a few days each week.
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Job Type
Full-time
Career Level
Manager
Number of Employees
5,001-10,000 employees