• Jobs
  • Tools
  • Blog
Jobr logo

Services

  • Apply for me
  • Auto Apply

Company

  • About Us
  • FAQ
  • Contact Us

Free Tools

  • AI Cover Letter
  • AI Resume Builder
  • AI Portfolio Builder
  • Chrome Extension

Resources

  • All articles
  • Job Search
  • Resume
  • Auto Apply
  • Interviews
  • Help

Jobs

  • Remote Jobs
  • Software Jobs
  • Finance Jobs
  • HR Jobs
  • Design Jobs
  • Sales Jobs
  • Marketing Jobs

Copyright © 2026 Jobr LLC. All rights reserved.

Our Job Search StrategyPrivacy PolicyTerms & Conditions

Treasury Manager Jobs

As a Treasury Manager, you will play a crucial role in managing a company's cash flow, investments, and financial risks. Your responsibilities will include monitoring cash positions, devising strategies to enhance liquidity, optimizing financial performance, and ensuring compliance with regulatory requirements. Treasury Managers are highly sought after in the finance industry due to their expertise in managing financial assets and risks effectively. With a strong focus on financial planning and risk mitigation, this role offers a challenging yet rewarding career path. According to industry data, Treasury Managers can expect a salary range of $80,000 to $120,000 per year, depending on experience and location. To excel in this role, proficiency in financial analysis, knowledge of investment strategies, and understanding of financial markets are essential.

You might also be interested in:

Tired of filtering, reviewing and applying to jobs? Get jobs applied on behalf of you daily! 

Showing 24 jobs

Treasury Manager

Solidigm logo
Treasury Manager

Solidigm

Minhang District, , ChinaOn-site1 day ago
Solidigm logo
Treasury Manager

Solidigm

Open
Minhang District, , ChinaOn-site1 day ago
Open

About this role

Job Description

The Treasury Manager is responsible for supporting global treasury operations, including cash flow forecasting, liquidity management, financing activities, and regulatory compliance. This role ensures effective cash management, optimizes banking relationships, and supports treasury systems and processes to enable efficient and compliant financial operations.


Key ResponsibilitiesCash Flow Forecasting & Analysis

  • Develop and maintain short-, medium-, and long-term cash flow forecasts
  • Perform variance analysis and identify drivers impacting forecast accuracy
  • Continuously improve forecasting methodologies and tools

Liquidity & Cash Management

  • Manage daily cash positioning across accounts
  • Execute intercompany funding transfers and third-party payments in compliance with company policies
  • Ensure sufficient liquidity to support ongoing operations

Financing & Banking Management

  • Support negotiation, renewal, and optimization of bank credit facilities
  • Monitor financing costs and identify opportunities to reduce expenses
  • Maintain and strengthen banking relationships to support business needs

Treasury Systems & Process Optimization

  • Support daily operations of treasury systems (e.g., SAP/ERP, host-to-host bank connectivity)
  • Identify opportunities to streamline and enhance treasury processes and SOPs
  • Partner with internal teams to improve automation and system efficiency

Reporting, Compliance & Audit

  • Prepare regular treasury reports for internal stakeholders
  • Ensure compliance with regulatory requirements and internal controls
  • Support internal and external audit activities

Regulatory & SAFE Compliance

  • Monitor regulatory changes, including SAFE requirements
  • Interpret and implement updates to applicable treasury regulations
  • Prepare and submit regulatory reports as required

Stakeholder & Team Collaboration

  • Collaborate with cross-functional teams on treasury-related activities
  • Manage relationships with banking partners and external stakeholders
  • Provide guidance and informal mentoring to junior team members

Continuous Improvement & Technology Adoption

  • Leverage emerging technologies, including AI-enabled tools, to improve analysis and reporting
  • Promote best practices and knowledge sharing across treasury operations

Key Competencies

  • Financial Acumen
  • Analytical Thinking
  • Attention to Detail
  • Stakeholder Collaboration
  • Process Improvement Mindset
  • Adaptability and Continuous Learning

Qualifications

  • Bachelor’s degree in Finance, Accounting, Economics, or related field
  • 8+ years of experience in treasury, finance, or related discipline
  • Strong understanding of cash management, forecasting, and banking operations
  • Experience working with ERP systems (e.g., SAP) and treasury platforms
  • Familiarity with regulatory requirements (including SAFE)
  • Strong analytical and problem-solving skills
  • Ability to manage multiple priorities in a fast-paced environment


Preferred Qualifications

  • Experience in a multinational or global organization
  • Prior exposure to financing activities and credit facility management
  • Experience with treasury management systems and automation initiatives
  • Strong communication and stakeholder management skills
  • Experience leveraging data analytics or AI tools in financial operations

Additional Information

Powered by SmartRecruiters - Candidate Privacy Policy

About Solidigm

Solidigm delivers class-leading SSD data storage solutions for the most demanding workloads. Empower your data center and AI with our solid-state drives.

Team

Todd Cantor

Todd Cantor

Bala Ramachandran

Bala Ramachandran

Sara Bodin

Sara Bodin

Mikhail Kozorovitskiy

Mikhail Kozorovitskiy

Categories
🏕️ Remote JobsSoftware JobsFinance JobsHR JobsDesign JobsSales JobsMarketing Jobs