The Treasurer is a key finance leader responsible for driving enterprise-wide liquidity, cash flow optimization, capital deployment, and working capital performance across a private equity-backed, multi-location, multi-state construction services platform. This role is critical in a decentralized operating environment with numerous branches, legal entities, and banking relationships, and will partner closely with the CFO, operating presidents, accounting, FP&A, and shared services teams to improve cash visibility, strengthen controls, and maximize financial flexibility. The Treasurer will lead all aspects of cash management, liquidity planning, borrowing base and debt oversight, banking strategy, and treasury operations, while also playing a central role in improving working capital performance across the business. This includes building best-in-class short- and long-term cash forecasting processes, driving disciplined collections strategies to reduce DSO, and leading AP automation and payment process transformation to improve efficiency, controls, and cash flow timing. The ideal candidate brings deep experience in private equity-backed environments and understands how to build scalable treasury and working capital infrastructure in a complex construction or field services organization.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Mid Level