Treasury Manager
Robert Half
Job Description
Job Description
Our client, a prestigious global law firm, is seeking an experienced Treasury Manager to oversee global treasury operations for their growing and complex multi-office firm. This role will be responsible for cash management, liquidity planning, banking relationships, forecasting, investment activity, debt compliance, and treasury controls. The ideal candidate will bring a strong mix of technical treasury expertise, strategic thinking, and relationship management skills. This person will partner with finance leadership and cross-functional stakeholders. The Treasury Manager role presents an excellent opportunity for a candidate who enjoys both strategic involvement and hands-on execution. The position offers broad exposure across finance operations and firm leadership.
Key Responsibilities:
- Lead treasury operations, including cash positioning, liquidity management, forecasting, and investment activity
- Oversee domestic and international banking relationships, account structures, and related documentation
- Develop short and long-term cash forecasts to support business operations and strategic planning
- Monitor debt compliance and prepare required reporting, calculations, and supporting documentation
- Manage excess cash and investment activity to balance liquidity needs with yield optimization
- Support lines of credit, letters of credit, guarantees, and other banking-related activities
- Maintain and strengthen treasury policies, procedures, and internal controls
- Partner with leadership on interest income and expense budgeting, forecasting, and variance analysis
- Review treasury-related arrangements and transactions to ensure compliance with internal policies and risk standards
- Coordinate insurance renewals and serve as a key contact for insurance-related requests
- Provide leadership, guidance and development support to other team members
Our client offers medical benefits as part of their overall compensation package.
Please submit your resume in confidence to Raj Khanna, Senior Vice President at Robert Half or directly via LinkedIn for immediate consideration for this or one of our other active career opportunities in the Washington, DC Metro area.
• Bachelor’s degree in Finance, Accounting, Business, or a related discipline is required.
• At least 10 years of progressive experience in treasury or finance, including responsibility for global treasury operations.
• Strong knowledge of cash management, liquidity planning, banking structures, debt compliance, and treasury controls.
• Demonstrated experience preparing cash flow forecasts and managing a broad range of treasury activities.
• Advanced Excel skills with the ability to perform detailed financial analysis and interpret complex data.
• Excellent communication skills with a proven ability to build productive relationships across leadership teams and external partners.
• Ability to manage competing priorities, exercise sound judgment, and solve problems effectively in a fast-paced environment.
• Advanced treasury, finance, or accounting credentials are preferred.
$145k - $175k
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