Treasury Management Specialist

Good Greek Moving & StorageWest Palm Beach, FL

About The Position

The Treasury Management Specialist is responsible for managing the company’s daily cash positioning, banking relationships, liquidity forecasting, and treasury operations. This role ensures the efficient movement of funds, supports financial stability across multiple locations, and helps safeguard company assets through effective cash management and internal controls. The Treasury Management Specialist works closely with Accounting, Operations, Payroll, and senior leadership to support the financial health and growth of Good Greek Moving & Storage.

Requirements

  • 3–5 years of experience in treasury management, cash management, banking operations, accounting, or corporate finance.
  • Strong understanding of treasury operations, cash management principles, and banking services.
  • Knowledge of ACH processing, wire transfers, merchant services, and fraud prevention tools.
  • Advanced proficiency in Microsoft Excel, including financial modeling and reporting.
  • Ability to analyze financial data and develop accurate cash forecasts.
  • Strong attention to detail and organizational skills.
  • Excellent communication and interpersonal skills.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.
  • High level of integrity and discretion when handling confidential financial information.

Nice To Haves

  • Bachelor’s degree in Finance, Accounting, Business Administration, or a related field preferred.
  • Equivalent combination of education and experience may be considered.
  • Experience working with multiple bank accounts, cash forecasting, and electronic payment systems preferred.
  • Experience in a multi-location environment is a plus.
  • Experience with accounting and ERP systems preferred.

Responsibilities

  • Monitor and manage daily cash balances across all company bank accounts.
  • Prepare daily, weekly, and monthly cash flow forecasts and liquidity reports.
  • Coordinate transfers between operating, payroll, and reserve accounts as needed.
  • Manage online banking platforms, ACH transactions, wire transfers, positive pay systems, and other treasury services.
  • Review, process, and approve treasury transactions in accordance with company policies and established controls.
  • Reconcile bank activity and assist with resolving discrepancies, returned items, and banking issues.
  • Maintain relationships with banking partners and assist with opening, closing, and maintaining accounts.
  • Support merchant services and payment processing activities, including credit card and electronic payment systems.
  • Monitor compliance with banking agreements, loan covenants, and treasury-related policies.
  • Assist with debt management, credit facilities, and financing activities.
  • Analyze cash management processes and recommend improvements to increase efficiency, security, and accuracy.
  • Collaborate with Accounting during month-end and year-end closing activities.
  • Support audits by providing treasury documentation and financial records.
  • Prepare treasury-related reports and analyses for executive leadership.
  • Maintain strict confidentiality regarding financial information and company assets.
  • Perform other duties as assigned.
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