Treasury Manager
Prinova • Remote • Full Time • $11,000–$140,000 / year
Posted on Thu, Aug 20, 2026
Part of the NAGASE Group, our expertise lies in Ingredient Distribution, Manufacturing Solutions, and Customized Services. Our global network of colleagues, located in offices and manufacturing facilities around the world, deliver sustainable value-added solutions to our customers. We are recognized for our deep expertise, commitment to excellence, and bold innovation, which have earned us a strong reputation as a trusted industry leader.
Wherever your career is headed, you’ll find direction, opportunity, and belonging with us. Treasury Manager Department: Finance, Corporate
Location: Itasca, IL
Type: Full-time Summary: The Treasury Manager is responsible for managing the company's treasury operations, cash management, banking relationships, financing activities, and liquidity planning. This role ensures that adequate cash resources are available to support business operations while optimizing working capital and mitigating financial risk. The Treasury Manager will oversee cash forecasting, debt administration, banking systems, payment processes, insurance administration, and corporate travel and expense platforms while partnering closely with accounting, finance, and operational teams. Essential Duties and Responsibilities include the following, but are not limited to:
- Manage and administer all corporate loan facilities, including domestic and international financing arrangements.
- Monitor loan compliance requirements and maintain lender reporting obligations as applicable
- Serve as the primary contact for banking partners and financial institutions.
- Negotiate banking services, fees, and treasury management solutions as applicable
- Establish, maintain, and administer bank accounts, signatory authorities, and banking platforms.
- Manage treasury management systems and related banking technologies.
- Monitor daily cash balances across all US company accounts.
- Develop and maintain short-term and long-term cash flow forecasts.
- Analyze cash inflows and outflows to optimize liquidity and working capital.
- Identify potential cash shortages or excess cash positions and recommend appropriate actions.
- Support annual budgeting, forecasting, and financial planning processes through cash flow analysis.
- Oversee payment setup processes, including wire transfers and ACH transactions.
- Ensure timely and accurate execution of approved payment activities.
- Administer corporate insurance programs, including renewals, coverage reviews, broker relationships, claims coordination, and cost allocations.
- Manage corporate travel and expense management platforms, including Motus and Navan.
- Oversee company credit card programs, including issuance, controls, compliance, and vendor relationships.
- Develop and maintain treasury policies, internal controls, and procedures.
- Partner with internal and external auditors as required.
- Ensure compliance with applicable company policies, banking agreements, and regulatory requirements.
- Will complete other duties as assigned.
- Bachelor's degree in Finance, Accounting, Business Administration, Economics, or related field required.
- Master's degree or advanced finance certification preferred.
- Certified Treasury Professional (CTP), CFA, or CPA preferred.
- 5-8+ years of progressive experience in corporate treasury, cash management, corporate finance, banking, or related financial roles.
- Experience managing banking relationships and treasury management systems.
- Experience with cash forecasting, liquidity management, and working capital optimization.
- Experience administering debt facilities, loan agreements, and lender communications.
- Experience managing insurance programs and financial risk-related activities preferred.
- Experience in a manufacturing, distribution, food ingredient, or multinational environment preferred.
- Strong understanding of treasury operations, cash management, banking services, and liquidity planning.
- Knowledge of ACH, wire transfers, banking platforms, and payment controls.
- Advanced Microsoft Excel skills.
- Experience with ERP systems and financial reporting tools.
- Strong analytical, financial modeling, and problem-solving abilities.
- Ability to interpret financial statements and evaluate financial risks.
- Strong organizational and project management skills.
- Excellent communication and relationship management abilities.
- Demonstrated ability to manage multiple priorities and deadlines.
- High level of accuracy, integrity, and attention to detail.
- Ability to collaborate effectively across departments and with external partners.
- Ability to lift up to 10 pounds
- Work environment is normally in an office setting.
- Ability to view a computer screen and type for extended hours
- Ability to sit and stand for extended periods of time
- Other physical requirements include moderate standing and occasional squatting, bending, and twisting.
- Ability to work around a variety of different smells and aromas
- Ability to adjust work schedule as business needs require
- Medical, Dental, Vision
- Employer paid STD and LTD
- HSA and FSA
- Paid Maternity and Paternity Leave
- PTO
- Employer paid Basic Life Insurance
- 401(k) & Roth with employer match
- Eight Paid Holidays + 3 Floating Holidays
- Voluntary - Critical Illness, Hospital Indemnity, Accident
- Personal growth including training and development opportunities
More live treasury_manager roles
- Treasury Manager, Cash Performance & Liquidity at Baxter — Deerfield, Illinois, United States
- Treasury Manager at Okta — San Francisco, California, United States
- Senior Treasury Manager at Devoted Health Services (Remote)
- Senior Manager, International Treasury Services at Coca-Cola — US - GA - Atlanta
- Treasury Manager, Wholesale Liquidity Risk Management at TD Bank — Toronto, Canada
- Treasury Alm Analyst - Emerging Lead at State Street — Bangalore, India
- Treasury Manager at Highgate Hotels — Irving, Texas, United States
- Sr. Treasury Manager at Jacuzzi Group (Remote)
- Compliance and Treasury Manager at arrivia. Go far in the travel industry. — Scottsdale, Arizona, United States
- Compliance and Treasury Manager at arrivia — Scottsdale, Arizona, United States
- Treasury Manager at Home Market Foods — Norwood, MA, United States
- Senior Treasury Manager at Nexthink — Paris, IDF, FR
- Treasury Manager, Global Treasury Operations at Ripple — Chicago, IL, US
- Treasury Manager at Roku — Santa Monica, California, United States
- Treasury Manager at Waste Connections (Remote)
- Treasury - Sap Deployment Lead at 3M — IN, BANGALORE
- Senior Manager, Treasury Operations at NVIDIA — US, CA, Santa Clara
- Manager - Treasury Capital Planning & Management at American Express — New York, NY, United States
- Accounts Receivable & Treasury Manager at Seagull Software — Redmond, Washington, United States
- Accounts Payable & Treasury Manager at First Continental Mortgage — Houston, Texas, United States
- FX Treasury Manager at Weatherford (Remote)
- Treasury Manager at ACV — Buffalo, NY, US
- VP - Commercial Lending and Treasury Manager at Royal Credit Union — Minneapolis, Minnesota, United States
- Treasury Controllership Lead Accountant at GE HealthCare — Dublin, Ireland
- Senior Treasury Manager - Financial Risk and Liquidity at GlobalFoundries — Santa Clara, CA, United States
- Treasury Manager at Brook & Whittle — Cleveland, OH, US
- Finance & Treasury Manager at Pure Safety Group — Pasadena, Texas, United States
- Treasury Manager - Cash Operations at 3M — IN, BANGALORE
- Treasury Manager at Kls Martin Lp — Jacksonville, Florida, United States
- Treasury Manager at Kls Martin — Jacksonville, Florida, United States
- Treasury Manager at Total Power Limited — Mississauga, Ontario, Canada
- Global Treasury Manager at 6 Degrees Group — Alpharetta, Georgia, United States
- Treasurer/Senior Treasury Manager at One GI — Brentwood, Tennessee, United States
- Senior Manager, Treasury - International at Kraft Heinz — London - The Shard
- Group Treasury Manager at TradingView — New York, New York, United States
- Senior Treasury Manager at Polymarket — New York, New York, United States
- Treasury Manager at Iron Oak Energy — The Woodlands, Texas, US
- Treasury Manager at Terrible's — Las Vegas, Nevada, United States
- Treasury Manager at Rally House — United States