We use cookies. Find out more about it here. By continuing to browse this site you are agreeing to our use of cookies.
#alert
Back to search results
New

Treasurer

BDO USA, LLP
5300 Patterson Avenue Southeast (Show on map)
Aug 13, 2025

Job Summary:

The Treasurer is responsible for managing the activities of cash and debt management (actuals / forecast / budget), risk management and related hedging strategies (both interest rate and foreign currency), investment strategies, lease financing arrangements, lender relationship / management and other treasury activities.

Job Duties:



  • Develops and manages the long-term vision for Treasury activities in support of the Firm's long-term financial goals
  • Develops and maintains monthly reporting of Treasury activity (including forecast of cash, debt, liquidity and other critical metrics)
  • Builds a Treasury team to support the activities of a large Firm with a five-year plan of substantial growth
  • Develops and maintains long-term relationships with both existing and prospective lenders as well as lease and other 3rd party vendors
  • Develops and manages short and long-term cash strategies to ensure adequate liquidity to meet all obligations and optimization of excess balances in support overall Firm initiatives
  • Oversees the development of cash requirements and cash flows with banking and investment institutions to ensure adequate liquidity to meet all obligations and optimization of excess balances
  • Oversees the management of foreign exchange exposure for the firm
  • Develops a Treasury strategy around cash and risk management systems including assessing existing tool sets as well as optimal 3rd party applications
  • Develop appropriate policies, procedures, and internal controls to support a robust Treasury function
  • Secures appropriate lease financing as required
  • Collaborates with our Credit to Cash team to maintain a secure and reliable method of accepting credit card payments from customers and ensures all private information obtained is properly secured
  • Other duties as required


Supervisory Responsibilities:



  • Monitors and provides performance feedback of all personnel reporting to this position throughout the performance year
  • Ensures all direct reports are effectively trained on systems and processes related to the Finance Department
  • Prepares and conducts annual performance reviews for all direct reports
  • Assists direct reports with prioritization of workload, communications, etc. and delegates work assignments to direct reports as appropriate


Qualifications, Knowledge, Skills, and Abilities:

Education:



  • Bachelors degree, required; focus in Accounting, Business Administration, Finance, preferred


Experience:



  • Ten (10) or more years of treasury and cash management experience, required
  • Five (5) or more years of financial management experience, required
  • Supervisory experience, required
  • Experience with lockbox operations, preferred
  • Experience with foreign currency transactions, preferred
  • Experience working within a professional services firm such as accounting, financial services, business advisory and/or banking industries, preferred


License/Certifications:



  • CTP, preferred


Software:



  • Proficient in the use of Microsoft Office Suite, specifically Excel, required


Language:



  • N/A


Other Knowledge, Skills & Abilities:



  • Displays superior verbal and written communication skills
  • Capable of working and communicating effectively with professionals at all levels
  • Able to work in a deadline-driven environment and handle multiple projects / tasks with an attention to detail
  • Ability to successfully multi-task while working independently or within a group environment
  • Proficient in utilization of data entry skills and Microsoft Excel
  • Possesses superior customer service skills

Applied = 0

(web-5cf844c5d-bjxg9)