Cash Management / Treasury Management Officer
Golden Bank, N.A.
Cash Management / Treasury Management Officer Job Description JOB SUMMARY The Treasury Management Sales Specialist provides comprehensive sales and administrative support to Bank’s Lending Team and Relationship Managers. This role is responsible for the pre-sale and post-sale activities related to the sale of treasury management products and services to commercial clients. The successful candidate will be a highly organized, detail-oriented professional with a strong understanding of banking products, exceptional communication skills, and the ability to work in a fast-paced, deadline-driven environment. PRIMARY ACCOUNTABILITIES/RESPONSIBILITIES: Sales and Proposal Preparation: Work directly with front line branch staff and lending team to prepare sales proposals, presentations, and product demonstrations for prospective and existing clients. Gather and analyze client account data to identify needs and recommend appropriate treasury management solutions. Create detailed financial analysis and proformas, including cost-benefit analyses, to demonstrate the value of proposed services. Assist in the pricing process and prepare all necessary documentation for internal approvals. Help prepare and respond to Requests for Proposals (RFPs) from potential clients. Client Management and Support: Act as a primary point of contact for clients, addressing inquiries, and resolving issues related to treasury management products and services. Proactively review client accounts to identify opportunities for additional services ("upselling" or "cross-selling"). Coordinate with other internal departments, such as Branch Operation, Digital Banking, BSA, and IT, to ensure a smooth and timely setup of new services. Handle client onboarding, including preparing applications, collecting necessary documents, and ensuring all compliance requirements are met. Provide ongoing client training and technical support on new products, systems, and online banking platforms. Administrative and Reporting: Maintain accurate and up-to-date client records in the bank's customer relationship management (CRM) system. Track and report on sales pipelines, revenue goals, and other key performance indicators (KPIs). Manage and process service agreements, paperwork, and other administrative tasks to support the sales team. Stay informed on industry trends, competitor offerings, and regulatory changes that may affect treasury management products. Risk and Compliance: Ensure all sales and implementation processes adhere to internal policies, banking regulations, and compliance standards. Identify and escalate any potential risks, such as cyber-risk, product risk, or operational risk, to the appropriate channels. Assist in the annual review of client accounts and documentation to mitigate risk and ensure a sound relationship. QUALIFICATIONS AND SKILLS: Education : Bachelor's degree in Business, Finance, Accounting, or a related field. Experience: 5+ years of experience in financial services, with a strong preference for previous experience in a sales support, customer service, or treasury management role. Technical Skills: Proficiency in Microsoft Office Suite (Word, Excel, PowerPoint) is required. Familiarity with banking software, and bank’s treasury management products, including ACH/Wires, Positive Pay, Remote Deposit Capture (RDC), Merchant Card Processing, Bill Pay and Online/Mobile Banking. Strong analytical and quantitative skills to perform financial analysis and create reports. Communication Skills : Exceptional verbal and written communication skills for interacting with clients and internal stakeholders. Ability to clearly explain complex financial products and concepts. Personal Attributes: Highly organized with meticulous attention to detail. Strong problem-solving and critical-thinking abilities. Self-motivated, proactive, and able to work independently as well as part of a team. Proven ability to manage multiple tasks and prioritize work in a fast-paced, high-pressure environment. Employment Type: Full Time Bonus/Commission: No
- Treasury Management Officer II - Houston Houston, TX, US, 77001 Location: Houston -HOUS Areas of Interest: Commercial Banking; Commercial Banking... ...-line computer systems Thorough knowledge of banking and cash management products Excellent knowledge of Bank operations...Suggested
- ...our customer's experience. Position Summary The Treasury Manager will contribute across key Front, Middle, and Back Office Treasury functions through rotational... ...Planning, Risk Management, Liquidity Forecasting, and Cash Management. Key activities include cash and liquidity...SuggestedTemporary workMonday to FridayShift workWeekend work
- ...deployment to full production. What impact you will have You’ll be responsible for overseeing the company’s global treasury operations, including cash management, liquidity planning, banking relationships, foreign exchange risk management, debt administration, treasury...SuggestedTemporary workWork experience placement
$128.4k - $235.3k
...national practice, supported by treasury professionals in a diverse... ...on, every time. As a Treasury Manager’ you'll play a leading role in... ...including but not limited to: Cash positioning and cash flow forecasting... ...transportation to/from the EY office and client sites. A driver’s...SuggestedContract workWork experience placementSummer holidayWork at officeFlexible hours- BOK Financial Corporation is seeking a Treasury Management Officer II in Houston, Texas. The role involves engaging with clients to provide market insights, manage commercial depository services, and implement treasury management products. Ideal candidates should have a...Suggested
- ...an experienced Accountant in Houston, Texas. This role involves supporting the Controller in various financial management aspects including credit risk and cash management. Responsibilities include overseeing accounting operations, conducting cash flow analysis, and...
- ...retail lending, captive financing, and floorplan products to cash management, private banking, and payment processing. Role Overview As a... ...THIS ROLE IS HYBRID WITH 2 DAYS WORK FROM HOME AND 3 DAYS IN OFFICE. Compensation & Benefits We offer a competitive total rewards...Work at officeWork from home
$124k - $335k
...owned entities, entrepreneurs, and high net worth individuals. You’ll be assisting the team focus on key issues like wealth management, compliance, cash flow management, equity expansion, divestiture and exit strategies. Our PwC Private teams help entrepreneurs, private...H1b- ...Petroleum Group (TPG) is a retail fuel company managing ~300 retail gas stations in Texas with a... ...following: As a relatively new position, the Treasury & Assurance manager will be responsible for all banking and cash management activities as well as implementing...Full time
$127.5k - $230k
Bank of America: Treasury Sales Officer At Bank of America, we are guided by a common purpose to help... ...solutions, including liquidity management, payments, trade and supply chain finance... ...understanding of bank structure and global cash management products. Possess strong...Flexible hoursShift workDay shift$250k - $304.2k
...clients in providing liquidity management, payments and receipts, trade... ...to see what’s next in treasury management. The future of treasury... ...Responsibilities The Treasury Sales Officer (TSO) will be responsible for... ...aspects of global cash management products and services...Flexible hoursShift workDay shift$122.1k - $139.4k
Treasury Management Sales Officer (TMSO) The Treasury Management Sales Officer plays a critical role in driving growth and profitability of the bank... ...their assigned market. TMSOs should be able to articulate cash cycle details, and display an understanding of Treasury...Local area$170k - $180k
...Title Senior Treasury Manager Location Houston, Texas Type Direct Hire Salary $170,000 - $180,000 Summary The Senior Treasury Manager will lead... ...KYC and regulatory compliance matters. Duties Oversee daily cash optimization, payment workflows, and wire operations to support...Daily paid- BOK Financial is seeking a Relationship Manager IV for Corporate Banking in Houston, Texas. This role involves managing the largest and most profitable customer relationships, requiring expertise in commercial lending. The ideal candidate will have a Bachelor's degree and...
- Submer in Houston, Texas seeks a Treasury Manager to oversee global treasury operations. The ideal candidate will manage cash positions, develop cash flow forecasts, and support banking relationships while optimizing cash utilization and minimizing financial risk. With...
- Treasury Director The Treasury Director will lead the execution of the company’s global treasury... ...strong liquidity, capital structure management and risk oversight. About the Role... ...knowledge across liquidity management, cash forecasting, debt, and financial risk (FX...Temporary workLocal areaRelocation packageFlexible hours
- ...flexible and adaptable as priorities change. Accounting Analyst (Cash Analyst) – Job Description Cash & Banking Update and track... ...of accounting experience, preferably with exposure to cash management or treasury tasks. Proficiency with Quorum On Demand Accounting or...Flexible hours
- ...Treasury Accountant Analyst The Treasury Accountant/Analyst plays... ...primarily responsible for accurate cash forecasting, comprehensive... ...delivery and financial management objectives. Key Responsibilities... ...Work Environment: Primarily office-based Must be able to sit for...Temporary workWork at officeLocal area
$130k - $284.3k
...Finance and Accounting Consulting Senior Manager to join our Client Accounting Services (CAS... ...a hybrid position with 2-3 days in the office each week.ResponsibilitiesLead outsourced... ...-end close, AP/AR, payroll coordination, cash management, and financial reportingServe...Work at officeLocal areaWorldwide$45k
A leading dealership in Houston is seeking an Accounting Manager to oversee sales accounting, cash management, and reconciliations. The ideal candidate will have a minimum of two years experience in dealership accounting along with proficiency in basic accounting concepts...- ...Job Description Job Description JOB SUMMARY The Treasury Management Sales Specialist provides comprehensive sales, implementation,... ...management role. Technical Skills: Proficiency in Microsoft Office Suite (Word, Excel, PowerPoint) is required. Familiarity...Work at officeRemote work
$116.19k
...of the system. Job Description At Regions, the Private Wealth Management Trust Advisor is responsible for the acquisition of Personal Trust... ..., written and organizational skills Proficiency in Microsoft Office (Word, Excel, PowerPoint) Strong presentation and sales skills...Full timeWork at officeFlexible hours- A global financial services firm is seeking a Treasury Manager in Houston, TX, to lead Kyriba treasury management system implementations and engage with prestigious clients. The role demands 5 to 8 years of experience, strong analytical skills, and the ability to mentor...
- Job Title Location Remote - United States Job Category Business Development, Relationship Manager, Account Executive Industry Finance, Treasury, Payments Employee Type Full-Time Description Summary Job description content goes here. RedbridgeFull timeRemote work
- Urbangridco in Houston is seeking a Director, Treasury to manage Treasury operations, cash management, and debt compliance. The role supports process improvements... .... The position offers a hybrid work model (4 days in-office) along with a comprehensive benefits package including...Work at office
- Urban Grid Solar Projects, LLC is seeking a Director, Treasury to lead treasury operations, manage bank accounts and debt, and ensure compliance. Responsibilities include cash management, overseeing bank relationships, and supervising the Treasury team. The ideal candidate...
- ...and advisory support to Senior Management relating to matters including... ..., governance, tax, and treasury matters impacting Saudi Aramco... ...governance, internal controls, and cash management & financing.... ...Kingdom of Saudi Arabia, and with offices around the world, we combine...Permanent employmentFull timeRelocationRelocation package
- At CORDA Investment Management, we believe our people are our greatest asset. We foster a collaborative, client-focused culture where talented professionals can grow their careers while making a genuine difference in the lives of the individuals and families we serve....Permanent employmentFull time
- ...retail lending, captive financing, and floorplan products to cash management, private banking, and payment processing. As a Tesla Market... ...THIS ROLE IS HYBRID WITH 2 DAYS WORK FROM HOME AND 3 DAYS IN OFFICE. About Us Chase is a leading financial services firm,...Work at officeWork from home
- ...Position The NAM Credit and Collections Manager is primarily responsible for the timely collections... ..., and forecasting collections to manage cash flow. In addition, this position will... ...and gathering the required data Supports Treasury Department with collections forecast and...Work experience placementFlexible hours
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Cash Management / Treasury Management Officer. Be the first to apply!
- treasury accountant Houston, TX
- treasury director Houston, TX
- treasury manager Houston, TX
- cash reconciliation specialist Houston, TX
- quick cash Houston, TX
- accounts receivable cash application specialist Houston, TX
- cash office associate Houston, TX
- cash office Houston, TX
- cash application specialist Houston, TX
- cash application clerk Houston, TX

