Treasury Manager | Global PE-Backed Manufacturing Company
In order to make an application, simply read through the following job description and make sure to attach relevant documents.
Salary : $140,000 - $160,000 base + bonus
Work Model : On-site | Shoreview, MN
Why This Opportunity Stands Out :
This is a unique opportunity to join a newly established, mid-sized global manufacturing company that recently transitioned from a larger enterprise under private equity ownership. With a strong leadership team already in place and the organization positioned for substantial growth, the Treasury Manager will play a key role in building and shaping the company's treasury function from the ground up.
Initially operating as a team of one, this individual will have broad exposure across the business and the opportunity to hire and develop staff as the function expands. It's an ideal role for a treasury professional seeking both strategic impact and hands-on involvement within a dynamic, growth-focused environment.
Key Responsibilities for the Treasury Manager :
Build and manage the company's treasury operations, including liquidity management, cash forecasting, and global banking relationships.
Oversee daily cash positioning and ensure efficient utilization of funds across multiple entities and currencies.
Develop and implement treasury policies, controls, and best practices in alignment with the company's evolving needs.
Lead efforts to optimize working capital and streamline cash management processes.
Partner closely with Accounting, FP&A, and leadership to improve visibility into cash flow and capital structure.
Support debt compliance, covenant reporting, and other financing activities.
Manage relationships with banking partners and evaluate treasury technology or system enhancements.
Provide analysis and recommendations to senior leadership and private equity partners on liquidity and risk management strategies.
Build and mentor a future treasury team as the company scales globally.
Qualifications for the Treasury Manager :
Bachelor's degree in Finance, Accounting, or a related field (MBA or CTP certification a plus).
5+ years of progressive treasury experience, including prior experience in a global or multinational environment .
Demonstrated ability to build or enhance a treasury function within a growing or transformational business.
Strong understanding of cash management, liquidity forecasting, and capital structure.
Experience with banking platforms, treasury management systems, and ERP integrations.
Proven ability to collaborate across departments and communicate effectively with senior leadership.
Comfortable operating both strategically and hands-on in a fast-paced, evolving environment.
Success Traits :
Entrepreneurial mindset with the ability to build structure and process from the ground up.
Confident, proactive communicator who thrives in a collaborative, high-performing culture.
Detail-oriented yet able to think strategically about growth, efficiency, and scalability.
Motivated by the opportunity to help shape the financial foundation of a global business.
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