Treasury Director jobs in Utah

Treasury Director manages and oversees all aspects of daily treasury operations to meet the financial obligations of the organization. Oversees cash reporting and forecasting, credit administration, lender compliance requirements, administration of business insurance programs, and debt facility modeling. Being a Treasury Director reviews and approves cash allocation reports, investment records, and expense and earnings forecasts. Develops department policies, procedures, and internal controls. Additionally, Treasury Director ensures policies and procedures meet the organization's objectives, needs, and regulatory body requirements. Requires a bachelor's degree. Typically reports to a director. The Treasury Director typically manages through subordinate managers and professionals in larger groups of moderate complexity. Provides input to strategic decisions that affect the functional area of responsibility. May give input into developing the budget. To be a Treasury Director typically requires 3+ years of managerial experience. Capable of resolving escalated issues arising from operations and requiring coordination with other departments. (Copyright 2024 Salary.com)

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Director Treasury
  • LifeVantage Corporation
  • Sandy, UT FULL_TIME
  • Position Summary

    Corporate Treasurers' primary responsibilities involve analysis and oversight of risk management, fiscal control and reporting, corporate accounting and finance and taxation reporting. They also manage business investments, corporate banking and lines of credit, as well as cash holdings. Corporate Treasurers gather information from reports, hold meetings with colleagues, cultivate relationships with banking and financial services representatives that work with the company and develop company financial policies and budgets as needed. The treasurer position is responsible for corporate liquidity, investments, and risk management related to the company's financial activities.

    Essential Duties and Responsibilities include the following and other duties as assigned.

    • Direct world-wide cash management activities consistent with global liquidity needs for business operations, capital projects and acquisitions. Make recommendations and set strategy regarding cash management and other treasury issues. 
    • Proactively manage company-wide customer payment processing options, including credit cards and other alternative payment types, fee management, etc.   
    • Maintain and evaluate cash system controls/procedures.
    • Manage Group Insurance including identifying and addressing risks, optimizing insurance costs and reviewing premium payments. 
    • Recommend and negotiate banking arrangements including corporate credit facilities, public and private financing arrangements.
    • Provide the primary relationship contact point for institutions (including both commercial lending and investment banks) in the company’s credit facilities.
    • Direct the development, implementation and ongoing enhancement of a corporate cash forecasting system to accurately predict the timing of cash requirements over appropriate time horizons.
    • Direct the overall strategy related to corporate lease activity to minimize asset acquisition costs and maximize cash flow. 
    • Oversee banking relationships and maintain external communication with pertinent financial institutions.
    • Implement and maintain revolving credit facilities for financial flexibility.
    • Together with accounting management, develop investment strategies, policies and procedures to meet corporate objectives.  Ensure adherence to policies.
    • Manage global cash balances and direct the investment of available funds according to established parameters.
    • Together with accounting management, develop strategies to manage exposures to interest rate and foreign exchange risks, where appropriate. 
    • Develop policies to meet strategies and ensure adherence to policies. 
    • Develop financial models to forecast the Company’s cash/liquidity position.  
    • Develop strategies to maximize liquidity consistent with business needs.
    • Develop and maintain model to forecast the Company’s interest income and expense and other treasury-related items, as required.
    • Provide financial analysis, modeling, and recommendations for cash management and corporate finance projects (capital structure, debt, investments, etc).  
    • Supervise, hire, train and develop finance staff.
    • Manage chargeback, fraud and refund staff.
    • Forecast cash flow positions, related borrowing needs, and available funds for investment.
    • Ensure that sufficient funds are available to meet ongoing operational and capital investment requirements.
    • Use hedging to mitigate financial risks related to the interest rates on the company's borrowings, as well as on its foreign exchange positions
    • Maintain credit rating agency relationships.
    • Arrange for equity and debt financing.
    • Monitor the activities of third parties handling outsourced treasury functions on behalf of the company.
    • Advise management on the liquidity aspects of its short- and long-range planning.
    • Maintain a system of policies and procedures that impose an adequate level of control over treasury activities.
    • Perform other related duties and assignments as required.

    Education and/or Experience

    • 8 to 10 years of similar Treasury experience is required. International experience preferred.
    • Bachelor degree required. MBA preferred.

    Qualifications/Skills

    • Very strong analytical and quantitative skills required.
    • Strong communication and presentation skills required.  
    • Attention to detail and deadlines is essential.
    • Strong leadership skills required, including ability to assemble and lead cross-functional teams.
    • Must be proficient in Microsoft Office.

    Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions. 

     

     

  • 2 Months Ago

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Treasury Manager/Director
  • SPS
  • Salt Lake, UT FULL_TIME
  • Treasury Manager/Director Select Portfolio Servicing (SPS), a UBS company, is recognized in the mortgage servicing industry as one of the most reputable and highly rated service providers and a leader...
  • 1 Month Ago

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Treasury Accountant
  • Savage Services
  • Midvale, UT FULL_TIME
  • Come work with us! Savage has been designated by USA Today as a Top Workplace and also received recognition as a Military Friendly Employer, and a Top Company for Women to Work For in Transportation. ...
  • 19 Days Ago

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Treasury Accountant
  • Savage Services
  • Salt Lake, UT FULL_TIME
  • Come work with us! Savage has been designated by USA Today as a Top Workplace and also received recognition as a Military Friendly Employer, and a Top Company for Women to Work For in Transportation. ...
  • 19 Days Ago

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Treasury Accountant
  • Savage
  • Midvale, UT FULL_TIME
  • With more than 77 years of experience in hundreds of locations across North America and internationally, Savage is a trusted partner for safely moving and managing mission-critical materials with worr...
  • 20 Days Ago

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Treasury Clerk
  • Young Automotive Group
  • Layton, UT FULL_TIME
  • Job Description You can LOVE your job and LOVE where you work! Come join the Young Automotive Group, one of Utah's Fastest Growing and Top Companies to Work For!! We are seeking a motivated Treasury C...
  • 1 Month Ago

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Director of Treasury
  • JCW
  • JCW Group is partnering with a rapidly growing bank in the Phoenix area to hire a Treasury Management Officer. This posi...
  • 4/17/2024 12:00:00 AM

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Director Reporting, Treasury and Accounting
  • EmpiRx Health
  • Montvale, NJ
  • Who We Are: EmpiRx Health is the leading clinically-driven, customer-first PBM company that puts the pharmacist at the c...
  • 4/17/2024 12:00:00 AM

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Director of Treasury Operations and Accounts Payable
  • Omada Search
  • Myrtle Beach, SC
  • Purpose Director of Treasury Operations and Accounts Payable will manage the team, tasks and projects related to forecas...
  • 4/17/2024 12:00:00 AM

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Treasury Director
  • Confidential
  • Fort Lauderdale, FL
  • Job Summary: We are seeking a dynamic and experienced Treasury Director to join our finance team. Reporting directly to ...
  • 4/16/2024 12:00:00 AM

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Treasury Director
  • Confidential
  • Fort Lauderdale, FL
  • Job Summary: We are seeking a dynamic and experienced Treasury Director to join our finance team. Reporting directly to ...
  • 4/16/2024 12:00:00 AM

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Director of Treasury
  • Octagon Professional Recruiting | Octagon Financial Consulting | Octagon Executive Search
  • Fort Lauderdale, FL
  • **** NEWLY created Treasury role with this growing, multi-location, PE owned Services company **** LOCAL or currently re...
  • 4/16/2024 12:00:00 AM

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Director of Treasury
  • Bridge Investment Group
  • Bridge acknowledges and values the individuality of each person, recognizing that our people are the foundation of our s...
  • 4/15/2024 12:00:00 AM

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Director of Treasury
  • Octagon Professional Recruiting | Octagon Financial Consulting | Octagon Executive Search
  • Fort Lauderdale, FL
  • **** NEWLY created Treasury role with this growing, multi-location, PE owned Services company **** LOCAL or currently re...
  • 4/14/2024 12:00:00 AM

Utah is known for its natural diversity and is home to features ranging from arid deserts with sand dunes to thriving pine forests in mountain valleys. It is a rugged and geographically diverse state that is at the convergence of three distinct geological regions: the Rocky Mountains, the Great Basin, and the Colorado Plateau. Utah is one of the Four Corners states, and is bordered by Idaho in the north, Wyoming in the north and east; by Colorado in the east; at a single point by New Mexico to the southeast; by Arizona in the south; and by Nevada in the west. It covers an area of 84,899 sq mi ...
Source: Wikipedia (as of 04/11/2019). Read more from Wikipedia
Income Estimation for Treasury Director jobs
$168,903 to $230,185

Treasury Director in Nashua, NH
The Treasury Analyst is responsible for a variety of duties and responsibilities depending upon the entity's size, and individual requirements.
January 12, 2020
Treasury Director in Twin Falls, ID
In general, the Treasury Accountant performs a variety of duties and has many responsibilities involving inflows and outflows of cash including.
February 23, 2020
Treasury Director in Rockford, IL
The role of treasury to be able to manage cash – and other short-term assets to manage the firm’s liabilities – is not to be understated.
December 09, 2019