Treasury Manager
Job in
Sandy, Salt Lake County, Utah, 84092, USA
Listed on 2026-01-16
Listing for:
Alkeme Inc.
Full Time
position Listed on 2026-01-16
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Manager, Risk Manager/Analyst, CFO -
Management
Financial Manager, Risk Manager/Analyst, CFO
Job Description & How to Apply Below
Job Description:
Treasury Manager
Job Title: Treasury Manager
Location: On-site Sandy, UT 84070
Reports to: Chief Financial Officer
Department: Finance
FLSA Status: Exempt
Job PurposeThe Treasury Manager plays a critical role in supporting ALKEME’s continued growth by overseeing cash management, liquidity planning, forecasting, and banking relationships across a complex, multi-entity organization. This role ensures strong financial controls, clear visibility into cash, and scalable treasury processes that support acquisitions and long-term growth.
Key Responsibilities 1. Treasury Operations and Cash Management- Oversee daily cash positioning, liquidity management, and banking activity across multiple business units.
- Manage cash operations for a large number of entities and bank accounts, ensuring accuracy, visibility, and control.
- Develop and maintain short- and long-term cash flow forecasts in partnership with FP&A and operating leaders.
- Oversee payment processes, including ACH, wire, and check disbursements, ensuring timeliness and compliance with internal policies.
- Design, implement, and enforce treasury controls, including authorization frameworks, segregation of duties, and fraud prevention.
- Manage relationships with financial institutions, including account structure, fees, and banking services.
- Monitor debt and covenant compliance and support reporting and financing activities as needed.
- Lead treasury integration for acquisitions, including onboarding new entities, rationalizing bank accounts, and aligning controls with corporate standards.
- Collaborate closely with accounting on cash-related reconciliations, month-end close, audits, and reporting.
- Prepare treasury reporting and dashboards for senior leadership, highlighting liquidity, risks, and trends.
- Bachelor’s degree in Finance, Accounting, or a related field; CPA, CFA, or CTP preferred.
- 3+ years of progressive treasury or corporate finance experience, preferably in a multi-entity or acquisition-driven environment.
- Strong understanding of cash management, forecasting, liquidity planning, and internal controls.
- Advanced Excel skills; experience with treasury management systems is a plus.
- Strong attention to detail, sound judgment, and the ability to work cross-functionally in a fast-paced environment.
- Clear, professional communication skills with the ability to partner effectively across the organization.
- Compensation range is based on working in-office in the state in which the position resides
- This is an At-Will position. Employment may be terminated at any time, with or without cause or notice.
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