About the Role
Our client is seeking an experienced Treasury Manager to lead cash management and treasury operations for a large, multi‑state real estate organization. The Treasury Manager will be responsible for managing the company’s daily liquidity, supervising wire/ACH activity, overseeing corporate bank platforms, maintaining strong internal controls, and optimizing the organization’s depository structure. You’ll partner closely with accounting, AP, and leadership to ensure all cash‑related activities are accurate, timely, and compliant.
Key Responsibilities
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