Full-Time

Treasury Manager

Confirmed live in the last 24 hours

Integrity

Integrity

501-1,000 employees

Fintech
Financial Services

Senior, Expert

Dallas, TX, USA

Headquartered in Dallas, Texas.

Category
Treasury
Finance & Banking
Required Skills
Financial analysis
Requirements
  • Bachelor’s degree in accounting or finance required.
  • CTP certification preferred.
  • 6+ years of operational treasury experience.
  • 4+ years of experience leading and developing treasury teams
  • Intermediate understanding of cash management-general treasury principles and processes; general accounting knowledge
  • Ability to interpret the firm's organizational complex multi-entity fund structure
  • Ability to work independently and collaboratively with teams in a fast-paced environment and adapt to changing duties and priorities
  • Excellent communication skills in dealing with internal and external customers and business partners
  • Strong analytical, financial and systems skills, including advanced spreadsheet and modeling skills
  • Strong experience with bank reconciliations
  • Knowledge of banking systems and experience with wire and ACH templates is a plus
  • Self-motivation and attention to detail
  • Strong organizational and decision-making skills
  • Ability to meet deadlines
  • Project management skills
  • Analytical skills
Responsibilities
  • Develop best in class cash operations: evaluate new banking products and services, continue evolving global cash management strategy to align with company's strategic visions
  • Possesses a good understanding of treasury products and solutions that can be leveraged to make strategic decisions that help scale
  • Collaborate with our accounting teams to manage our cash needs to fund operations and minimize risk on our intercompany balances
  • Work closely with finance leadership to manage our portfolio weighing risk & cash funding requirements with opportunities for additional yield
  • Partner with FP&A to drive efficiencies and accuracy in our cash flow forecasting process and improve cash & investment reporting to senior executives & our audit committee
  • Create and/or improve treasury processes and implement system or process improvements to support hyper-growth at scale, working with business partners to facilitate key cross-functional initiatives
  • Keep current on regulatory developments and requirements and lead adoption and compliance (ex: FBAR, FATCA, DF, etc). Manage SOX and audit compliance
Desired Qualifications
  • Additional experience in accounting is preferred but not mandatory.

Company Stage

Growth Equity (Non-Venture Capital)

Total Funding

N/A

Headquarters

Oxford, Massachusetts

Founded

2006

Growth & Insights
Headcount

6 month growth

0%

1 year growth

-1%

2 year growth

-1%
Simplify Jobs

Simplify's Take

What believers are saying

  • Growing demand for personalized insurance products offers expansion opportunities for Integrity.
  • Increased focus on digital transformation can enhance Integrity's service efficiency.
  • The rise of insurtech partnerships presents opportunities for improved risk management.

What critics are saying

  • Market saturation in the Hispanic sector may reduce profit margins for Integrity.
  • Integration challenges from multiple acquisitions could disrupt Integrity's operations.
  • Financial strain from rapid expansion may impact Integrity's cash flow and stability.

What makes Integrity unique

  • Integrity's focus on holistic solutions for Hispanic communities sets it apart.
  • The company's annual toy drive showcases its commitment to social responsibility.
  • Integrity's strategic acquisitions enhance its market presence and service offerings.

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Benefits

Health Insurance

Dental Insurance

Vision Insurance

Life Insurance

Disability Insurance

Professional Development Budget

Conference Attendance Budget

Paid Sick Leave

Paid Holidays

Flexible Work Hours

Remote Work Options