Sign up to access all features of our service.
  • Job search
  • Favorites
  • Create a CV
    New
  • Salaries
  • Subscriptions

Treasury Manager

FORTË

Kansas City, KS, 8019 Bond Street, Lenexa, Kansas, United States of America

Job Description

Posted Tuesday, September 1, 2026 at 6:00 AM

At FORTÉ, every role plays a part in reimagining how the modern workplace works. Whether you're on the front lines with customers or behind the scenes making things run, your work helps people connect, collaborate, and get things done. From classrooms to control centers, we design and deliver the systems that power smarter, more connected workplaces – and it all starts with the people who make them possible. FORTÉ (formerly AVI Systems) is a 100% employee-owned company with 50+ years of experience and a bold new identity.

Reporting to the Vice President of Accounting, the Treasury Manager will be a hands‑on transformation leader responsible for building and executing FORTÉ’s global treasury operating model. The immediate mandate is to establish reliable cash visibility across the Company’s expanded banking network; strengthen cash and banking controls; ensure debt compliance; improve cash management and forecasting; and rationalize bank accounts while integrating international operations. Building on that foundation, the Treasury Manager will lead the transition of treasury activities and bank accounts, where feasible, to a primary global banking relationship and develop scalable practices for liquidity, banking, financial risk management, and internal control across FORTÉ’s global footprint.

The role will partner closely with Accounting, Tax, Finance, Legal, Information Technology, and regional leadership to manage cash efficiently across countries and jurisdictions, evaluate cash pooling and hedging strategies, comply with local requirements, and support tax‑efficient cross‑border funding and capital deployment. The ideal candidate combines strong technical treasury expertise with project management discipline, sound judgment, and a builder’s mindset suited to a rapidly growing global organization.

Immediate Priorities

  • Establishtimely, reliable visibility into cash balances and liquidity across the Company’s banking network.
  • Strengthen cash, payment, bank administration, access, reconciliation, andfraud‑preventioncontrols.
  • Own debt administration and compliance, including borrowing availability, covenant reporting,interestand fee calculations, and required deliverables.
  • Collaborate with finance and accounting to build short‑and long‑term cash forecasting, forecast ownership, and forecast‑to‑actual analysis across business units and regions.
  • Rationalize bank accounts and lead the treasury integration into the Company’s primary global banking relationship.

Principal Duties and Responsibilities

Global Banking Consolidation and Treasury Transformation

  • Lead the transition of global treasury activities and bank accounts, wherefeasible, to a primary global banking relationship while accommodating local regulatory, operational, currency, and business requirements.
  • Define the global treasury operating model, including centralized and regional responsibilities, decision rights,approvalauthorities, service standards, and escalation protocols.
  • Standardize global cash positioning, forecasting, payments, bank administration, intercompany funding, risk management, and treasury reporting processes across countries and banking relationships.
  • Develop and execute a phased banking transition roadmap, coordinate with regional teams and banking partners, manage account openings and closures, support testing and cutover activities, and drive stakeholder communication and adoption.
  • Establish reliable connectivity and information flows among banks, ERP systems, payment processes, and financial reporting tools, including appropriate security, access, and reconciliation controls.

Global Cash and Liquidity Management

  • Manage daily global cash positioning and liquidity to ensure funds are available in the right legal entity, currency, andjurisdictionwhen needed while minimizing idle balances and external borrowing.
  • Develop andmaintainshort‑and long‑term cash flow forecasting models; analyze forecast‑to‑actual results and improve forecast ownership and accuracy across business units and regions.
  • Evaluate, design, and execute physical or notional cash pooling, cash concentration, in‑house bank, and multi‑currency netting structureswhereeconomically beneficial and legally permissible.
  • Optimize short‑term investment of excess cash within approved risk parameters, including counterparty, concentration, liquidity, maturity, and yield considerations.
  • Coordinate funding for acquisitions, capital expenditures, debtservice, dividends or distributions, payroll, taxes, and other significant global cash requirements.

Banking, Debt, and Capital Management

  • Lead day‑to‑day relationships with global banking partners and serve as the primary internal owner for banking services, account structures, treasury products, and service performance.
  • Negotiate and manage banking fees, earnings credits, interest rates, foreign exchange pricing, service agreements, guarantees, letters of credit, and other treasury arrangements.
  • Administer global bank accounts, including opening and closing accounts,maintainingauthorized signers, managing user access and entitlements, and completing KYC and regulatory documentation.
  • Monitor compliance with debt agreements, borrowing availability, covenant requirements, interest and fee calculations, maturities, andrequiredtreasury reporting.
  • Support financing and capital structure initiatives, including revolver activity, term debt, local credit facilities, intercompany loans, and other sources of liquidity.

Cross‑Border Funding, Tax, and Regulatory Compliance

  • Partner with Tax, Legal, Accounting, and external advisors todeterminethe most efficient and compliant methods to move, deploy, and repatriate cash among countries and legal entities.
  • Evaluate intercompany loans, capital contributions, dividends, cash pooling, and other funding alternatives considering tax, transfer pricing, withholding tax, foreign exchange, legal, and regulatory implications.
  • Ensure treasury activitiescomply withapplicable local banking, exchange control, sanctions, anti‑money laundering, corporate authorization, data protection, and other regulatory requirements.
  • Maintainappropriate documentationfor intercompany funding, guarantees, hedging transactions, bank authorities, and cross‑border cash movements.
  • Monitor regulatory and market developments that may affect cash accessibility, repatriation, funding costs, or treasury risk and recommendtimelyactions.

Foreign Exchange, Interest Rate, and Financial Risk Management

  • Identify, quantify, andmonitorforeign currency, interest rate, liquidity, and counterparty exposures across the global organization.
  • Develop andmaintaintreasury risk management policies, exposure thresholds, hedgeobjectives, approved instruments, counterparty limits, and reporting requirements.
  • Evaluate and execute foreign exchange forwards, options, swaps, and other approved hedging instrumentsin accordance withCompany policy and delegated authority.
  • Partner with Accounting to ensure derivatives, valuations, settlements, and hedge accounting documentation are complete,accurate, and compliant with applicable accounting standards.
  • Provide clear reporting to senior leadership on market exposures, hedge coverage, effectiveness, costs, and residual risks.

Internal Controls, Governance, and Reporting

  • Design, document, implement, and continuously improve internal controls over cash, payments, banking, investments, debt, intercompany funding, derivatives, and treasury systems.
  • Establish segregation of duties, dual‑approval requirements, payment limits, access reviews, bank account reconciliations, fraud prevention controls, and exceptionmonitoringappropriate fora global organization.
  • Maintain global treasury policies, standard operating procedures, bank account inventories, authority matrices, counterparty records, and audit‑ready supporting documentation.
  • Coordinate treasury‑related audit requests; promptly investigate control exceptions, failed payments, unauthorized activity, and bank reconciliation issues.
  • Develop dashboards and management reporting for cash, liquidity, debt, investments, exposures, hedges, bank fees, counterparty risk, and key treasury performance indicators.

Leadership and Cross‑Functional Partnership

  • Serve as the Company’s treasury subject‑matter expert and trusted advisor to senior leadership and regional finance teams.
  • Build effective working relationships across Accounting, Tax, Finance, Legal, Information Technology, Operations, M&A, and international subsidiaries.
  • Support treasury due diligence and integration for acquisitions, including bank account transition, liquidity planning, controls, systems, debt, intercompany funding, and foreign exchange exposure.
  • Train regional finance teams and other stakeholders on treasury policies, systems, controls, and cash forecasting responsibilities.
  • Lead special projects and other treasury initiatives as assigned.

Required Qualifications

  • Bachelor’s degree in finance, accounting, economics, business, ora relatedfield.
  • Minimum of five years of progressive corporate treasury, banking, treasury consulting, or related finance experience, including meaningful responsibility in a multinational environment.
  • Demonstrated experience with global cash management, liquidity forecasting, bank administration, cross‑border funding, foreign exchange risk, and treasury internal controls.
  • Experience leading a global banking consolidation, bank account rationalization, cash management transformation, or comparable multinational treasury initiative.
  • Ability to evaluate complex treasury issues across multiplejurisdictionsand coordinate effectively with Tax, Legal, Accounting, banks, and external advisors.
  • Strong project management, analytical, negotiation, and problem‑solving skills, with the ability to translate strategy into documented and sustainable processes.
  • Advanced Microsoft Excel skills and experience developing concise, decision‑useful treasury reporting for senior leadership.
  • High degree of integrity, judgment, attention to detail, accountability, and discretion when handling sensitive financial information and payment authority.
  • Ability to work across global time zones and travel domestically or internationally as business needs require.

Preferred Qualifications

  • Certified Treasury Professional (CTP) designation.
  • Master’s degree in business, finance, accounting, ora relatedfield; CPA, CFA, or equivalent professional credential.
  • Working knowledge of cash pooling, intercompany lending, foreign exchange and interest rate instruments, and the operational requirements of derivative transactions.
  • Experience executing foreign exchange or interest rate hedging programs and supporting hedge accounting under U.S. GAAP.
  • Experience with global ERP platforms, bank APIs or host‑to‑host connectivity, SWIFT, and treasury reporting or business intelligence tools.
  • Experience supporting international acquisitions, integrations, or legal entity expansion.
  • Knowledge of transfer pricing, withholding tax, exchange controls, and other considerations affecting cross‑border cash movement.

Why Should You Apply?

At FORTÉ, your work matters, and it’s easy to see the impact you make. That’s because we’re 100% employee‑owned, and everyone here has a stake in how we show up – for each other, our customers, and the future we’re building. You’ll join a team that values your strengths, supports your growth, and shares your commitment to doing work that moves people and organizations forward. With bold momentum and a clear mission, FORTÉ is a place where you can bring your best – and build what’s next.

The benefits of ownership

At FORTÉ, you’re not just covered – you’re supported. Our employee‑owners have access to a comprehensive benefits package designed to protect your health, grow your wealth, and help you do your best work.

Here’s a look at what we offer:

  • Healthcare, vision & dental coverage to keep you and your family well
  • Health Savings Accounts (HSA) and Flexible Spending Accounts (FSA) for more control over your healthcare dollars
  • Employer‑paid life and disability insurance for added peace of mind
  • 401(k) with company match to invest in your future
  • Employee Stock Ownership Plan (ESOP) so you benefit directly from our shared success
  • Tuition reimbursement and ongoing learning opportunities to support your growth
  • Employer‑paid employee assistance program to care for your physical, mental, and financial health
  • Paid time off that helps you truly disconnect

FORTÉ is an equal opportunity employer, including individuals with disabilities and veterans.

Kansas City, KS, 8019 Bond Street, Lenexa, Kansas, United States of America

#J-18808-Ljbffr
Vacancy posted 7 hours ago
Similar jobs that could be interesting for youBased on the Treasury Manager in Eastern, KY vacancy
  •  ...estate development firm that develops, invests, constructs, and manages properties with industry-leading innovation in a variety of...  ...developer/builder, has an excellent opportunity for a Director of Treasury. The Director will lead the company’s treasury and cash management... 
    Suggested
    Temporary work
    For contractors

    L+M Development Partners

    Eastern, KY
    3 days ago
  •  ...Treasury Accountant Department: PSG Accounting Employment Type: Full Time Location: Clackamas Reporting To: Blake Gjesdal...  .... Summary: The Treasury Accountant is responsible for managing daily treasury activities, cash positioning, bank account administration... 
    Suggested
    Full time
    Temporary work
    Work at office
    Immediate start
    Flexible hours

    Pacific Seafood

    Eastern, KY
    3 days ago
  •  ..., licensed Certified Public Accountant (CPA) in Puerto Rico to manage the comprehensive financial and tax affairs for a High-Net-Worth...  ...income. Monitor changes in Puerto Rico Department of the Treasury (Hacienda) regulations and advise on impact. Required Qualifications... 
    Suggested
    Work at office
    Local area

    sun west direct

    Eastern, KY
    14 hours ago
  • $25 - $30 per hour

     ...sector. We partner with leading electric and gas utilities to provide strategic advisory and disciplined execution across program management, business intelligence, and field execution oversight. Guided by integrity, trust, excellence, and accountability, our team helps... 
    Suggested
    Hourly pay
    Full time
    Contract work
    Work at office
    Monday to Friday

    The CARIAN Group

    Eastern, KY
    3 days ago
  • $28.7 - $43.1 per hour

     ...accounting issues.* Identify process improvement opportunities that increase efficiency, accuracy, and consistency.* Work independently to manage day-to-day responsibilities while contributing to team objectives.* Utilize established procedures and controls to ensure quality... 
    Suggested
    Full time
    Part time
    For contractors
    Relocation package
    Flexible hours

    Caterpillar Brazil

    Eastern, KY
    3 days ago
  • $142.5k - $228k

     ...enabling your career growth and continuous professional development. Our Tax Credits & Incentives Advisory team is looking for a Senior Manager with a background managing state tax credit and incentive projects and driving business development efforts within the practice.... 
    Work experience placement
    Work at office
    Local area
    Remote work
    Relocation

    Cherry Bekaert

    Eastern, KY
    14 hours ago
  • $225k - $250k

     ...million users in more than 150 countries. Together, we share a collective passion and vision to protect consumers and help them grow, manage and secure their digital and financial lives. We're always looking for smart, fearless and high-impact talent who see AI as a... 
    Work at office
    Flexible hours
    3 days per week

    Apply

    Eastern, KY
    4 days ago
  • $30 - $35 per hour

    Select how often (in days) to receive an alert: A Wholly Owned Subsidiary of Westinghouse Electric Company LLC WECTEC Staffing Services provides customer-focused solutions with offerings ranging from high-volume and low-cost to specialized niche solutions, never ...
    Contract work
    Work at office
    Local area
    Work from home
    Monday to Friday

    Westinghouse Electric Company

    Eastern, KY
    1 day ago
  • $24 - $28 per hour

     ...objectives and compliance with funder regulations, IRI policies. Prepares all financial reports required by funders and/or IRI management. Responsible for maintaining current knowledge of funder’s and IRI’s financial policies and procedures and serving as a... 
    Work at office
    Local area
    Remote work
    Flexible hours
    2 days per week

    (IRI) International Republican Institute

    Eastern, KY
    3 days ago
  •  ...environment and is looking to grow alongside a forward-moving company. Summary of duties: The Senior Accountant supports the Controller in managing the day-to-day accounting operations of a $100M healthcare organization with 450 employees across multiple Central Florida service... 
    Contract work
    Interim role

    Complete Care

    Eastern, KY
    14 hours ago
  • $22 - $30 per hour

     ...smoothly while being part of an organization that changes lives. If you're organized, dependable, and take pride in accurate financial management, we'd love to talk with you. Day Shift: Monday – Friday Pay: $22.00-$30.00/hr based on experience Job Duties of an... 
    Weekly pay
    Work at office
    Monday to Friday
    Day shift

    Remedy Intelligent Staffing

    Eastern, KY
    3 days ago
  • $160k - $247.25k

     ...expertise across departments. Collaborate with FP&A, SEC Reporting, and other accounting and finance groups to ensure accurate internal management and external reporting during Close.* Perform quarterly account reconciliation reviews to ensure compliance with accounting... 

    NVIDIA

    Eastern, KY
    3 days ago
  •  ...Salesforce (which had acquired the company he founded, Quip) and CTO of Facebook. Bret was also one of Google's earliest product managers and co‑creator of Google Maps. Before founding Sierra, Clay spent 18 years at Google, where he most recently led Google Labs. Earlier... 
    Full time
    Work at office
    Local area
    Flexible hours

    Sierra

    Eastern, KY
    14 hours ago
  •  ...considerations.***Responsibilities:**We are seeking a highly organized and detail-oriented Accountant to provide comprehensive financial management for post-award grant support /institutional financial management support, primarily for Divisions of Gastroenterology and... 
    Hourly pay
    Local area
    Shift work

    University of Rochester

    Eastern, KY
    3 days ago
  • Nestlé USA is seeking a senior leader to direct supplier credit risk management, leveraging advanced financial analysis and risk scoring to safeguard the supply chain. You will partner with Procurement, global stakeholders, and business leaders to strengthen governance... 

    Nestl S.A

    Eastern, KY
    4 days ago
  • $160k - $200k

     ...public accounting firm, then moved in-house and grew through Senior Manager or Director of Accounting roles at technology companies. You...  ..., AP, payroll accounting, equity, leases, fixed assets, and treasury accounting. Technical Accounting & Policy Serve as the internal... 
    Local area
    Immediate start

    Centific Global Solutions, Inc.

    Eastern, KY
    4 days ago
  •  ...other, come build with us at Crusoe. About the Role: Crusoe is looking for a highly motivated and technically astute Senior Manager, Revenue Accounting to serve as the primary accounting lead for our most critical and complex revenue streams. This is a pivotal, build... 
    Full time
    Contract work
    Temporary work

    Crusoe Energy Systems LLC

    Eastern, KY
    8 hours ago
  •  ...accounting, budgeting support, and financial system administration. The Director, Accounting partners closely with the Grants & Funds Manager to ensure grants, restricted funds, and related financial activity are accurately accounted for and reported. The Director,... 
    Full time
    Work at office
    Local area

    Northeast Indiana Inc.

    Eastern, KY
    7 hours ago
  •  ...accounting operations and financial reporting activities. Producing accurate financial statements and evaluating accounting data. Managing the annual external financial audit process. Overseeing monthly financial close activities and quarterly Call Report preparation.... 
    Local area

    Marine Credit Union

    Eastern, KY
    1 day ago
  •  ...role in a public-company environment. The Director will oversee management’s execution of remediation activities affecting account...  ...Internal Audit, external auditors, Financial Reporting, Tax, Treasury, FP&A, Accounting Operations, Legal, business partners, and Accounting... 
    Temporary work
    Work at office

    Driven Brands

    Eastern, KY
    14 hours ago
  •  ...infrastructure investment recovery mechanisms. Leadership & Talent Development Lead, coach, and develop a team of regulated accounting managers and staff. Establish clear performance expectations, support succession planning, and build bench strength within the regulated... 
    Work at office
    1 day per week

    Chesapeake Utilities

    Eastern, KY
    1 day ago
  •  ...required. *This job requires access to confidential and sensitive information, requiring ongoing discretion and secure information management* Concentra is an equal opportunity employer that prohibits discrimination, and will make decisions regarding employment... 
    Local area

    Concentra

    Eastern, KY
    14 hours ago
  •  ...related field. Minimum of 10 years of progressive accounting and finance experience. Minimum of 5 years of leadership experience managing accounting or finance professionals. Strong knowledge of U.S. GAAP and financial reporting principles. Experience within a manufacturing... 
    Full time
    Local area

    Elma Electronic

    Eastern, KY
    14 hours ago
  •  ...on the company. Audit and public company readiness Manage the annual audit and any interim reviews, serving as primary contact...  ...support, payroll accounting, equity administration, and treasury operations. Coordinate income tax provision, compliance, and... 
    Full time
    Interim role
    Work at office
    Local area
    Remote work

    Uniquity Bio, Inc.

    Eastern, KY
    4 days ago
  • $120k - $150k

     ...responsibilities for each project. ~6. Identify areas of risk on a project and the magnitude. ~7. Communicate. Collaborate with project managers, engineers, and other stakeholders to gather project information and ensure accurate estimates. ~8. Respect and Engage. Build... 
    Full time
    For subcontractor
    Work at office
    Local area

    Aspenational

    Eastern, KY
    8 hours ago
  • $110k - $150k

     ...preparation of accurate, competitive, and complete estimates for HVAC, plumbing, refrigeration, and sheet-metal projects. This role manages the bid process from initial review through proposal submission, develops scopes and pricing strategies, coordinates subcontractor... 
    Full time
    For subcontractor
    Work at office
    Local area

    Pacmarhawaii

    Eastern, KY
    8 hours ago
  • $122.51k - $202.6k

     ...are accurate. Analyze and evaluate bidding risks, strategies and present estimate and participate in bid reviews with senior management to ensure accuracy and completeness. Analyze competition and communicate with owners, subcontractors, public and private entities... 
    For contractors
    Work experience placement
    For subcontractor
    Immediate start
    Flexible hours

    Granite Construction

    Eastern, KY
    7 hours ago
  •  ...other individuals to discuss and formulate estimates and resolve issues Compute cost factors and prepares estimates used for management purposes such as planning, organizing, and scheduling work; preparing bids; selecting vendors or subcontractors; and determining... 
    For subcontractor
    Work at office

    Cajun Industries

    Eastern, KY
    8 hours ago
  •  ...ambition and rewards initiative. Summary The Senior Estimator is responsible to assemble large dollar bid proposals, while managing an Estimator(s) concurrently in in the assembly of the proposal. The Senior Estimator is also expected to follow-up and negotiate... 
    For contractors
    For subcontractor

    Baker Concrete

    Eastern, KY
    8 hours ago
  •  ...pricing adjustments based on installation conditions. Creates project budgets based on design criteria and historical data. Manages and participates in alternate delivery style projects (Design/Assist & CMAR). Assembles bid qualifications to satisfy the Request... 
    For contractors
    Work at office
    Local area
    Work from home

    Alterman, Inc.

    Eastern, KY
    8 hours ago

Do you want to receive more vacancies?

Subscribe and receive similar vacancies to Treasury Manager. Be the first to apply!