Treasury Manager
$100kMinnesota Cannabis Services
At Minnesota Cannabis Services, we’re not just building businesses — we’re building the people who make them great. Our team partners with leading operators across cultivation, manufacturing, distribution, and retail to deliver world-class expertise in legal, finance, analytics, marketing, HR, and technology.
We’re looking for professionals who take pride in their work, move with purpose, and thrive in fast-changing environments. The kind of people who hold themselves to high standards, think creatively, and find satisfaction in solving hard problems.
When you join our team, you’ll work alongside some of the most experienced leaders in the industry — professionals who share their knowledge freely and lead by example. You’ll be challenged, supported, and trusted to take ownership of meaningful work that shapes the future of one of the fastest-growing industries in America.
About the Role
As a Treasury Manager at Minnesota Cannabis Services, you will own the movement, tracking, and reconciliation of funds across a complex, multi-entity corporate structure spanning multiple states and an international jurisdiction. Reporting from our Edina, MN headquarters, you will ensure every dollar flows accurately and compliantly through holding companies, operating entities, retail partnerships, and management companies—all governed by GAAP accounting standards and transfer pricing protocols.
This is a high-impact finance role for someone who thrives on precision, navigates complexity with confidence, and wants to build the treasury function for one of the most sophisticated multi-state cannabis operators in the country.
What You’ll Do
- Manage daily cash positioning, intercompany fund transfers, and liquidity across 20+ entities including LLCs, C-Corps, LLPs, and single-member LLCs.
- Execute and reconcile intercompany transactions aligned with established transfer pricing percentages (ranging from 0% to 4%) and AFR loan agreements.
- Oversee cash flow forecasting, bank account management, and working capital optimization across all operating entities.
- Ensure all treasury activities comply with GAAP, state‑specific tax requirements, and federal regulations including IRS 280E considerations.
- Manage loan servicing and repayment schedules including external debt facilities and internal intercompany loans.
- Coordinate with external tax advisors and CPAs on transfer pricing documentation, international export services compliance, and multi‑state tax filings.
- Reconcile payments flowing from OCM Licensed Retail, Manufacturing, and Transport entities to the holding company structure.
- Develop and maintain treasury policies, SOPs, and internal controls to safeguard company assets.
- Prepare cash flow reports, variance analyses, and treasury dashboards for executive leadership.
- Partner with Accounting, Legal, and Operations teams to support audit readiness and regulatory compliance.
Who You Are
You are a detail‑oriented, analytically rigorous finance professional who understands complex corporate structures and can manage the flow of capital across multiple entity types and jurisdictions. You hold yourself to the highest standards of accuracy and integrity, embrace technology to drive efficiency, and take pride in maintaining compliant, well‑documented financial operations.
Why Join Us
We believe in meritocracy, dependability, and commitment to excellence. This is an opportunity to build and own the treasury function at a company operating one of the most sophisticated multi‑state corporate structures in cannabis. You’ll work alongside leadership to optimize capital allocation, ensure compliance across jurisdictions, and help redefine financial operations in the legal cannabis industry.
Benefits and Compensation
- Earn $100,000 annually
- Employee discount includes 50% off smokable cannabis products
- 401k
- Health, Dental and Vision insurance
- Free Employee Assistance Program (EAP)
- Employee Discount Program offering exclusive discounts from top national retailers
- Paid Sick Leave (PSL) and Personal Time Off (PTO)
Skills
- Treasury and cash management
- GAAP accounting and financial reporting
- Intercompany accounting and transfer pricing
- Multi‑entity fund reconciliation
- Cash flow forecasting and liquidity management
- Bank relationship and account management
- Loan servicing and debt management
- Internal controls and SOPs development
- Multi‑state and international tax awareness
- ERP/accounting software proficiency
Qualifications
- 5+ years of experience in treasury, corporate accounting, or financial management
- Bachelor’s degree in Accounting, Finance, or related field (CPA, CMA, or CTP a plus)
- Demonstrated experience managing intercompany transactions across multiple legal entities
- Working knowledge of GAAP, transfer pricing principles, and multi‑state tax considerations
- Experience with ERP systems (e.g., QuickBooks Enterprise, Sage, NetSuite, or similar)
- Proficiency in Excel including financial modeling, pivot tables, etc
- Ability to work 100% in‑office Monday–Friday, 8:00 AM – 5:00 PM at our Edina, MN location
As set forth in Minnesota Cannabis Services’s Equal Employment Opportunity policy, we do not discriminate on the basis of any protected group status under any applicable law.
#J-18808-Ljbffr- We are looking for an experienced Treasury Manager to support critical cash management and funding activities for a leading organization in the Twin Cities. This Long-term Contract position focuses on strengthening liquidity oversight, payment controls, and treasury reporting...SuggestedLong term contractTemporary work
$125k - $150k
...in America. The Opportunity Minnesota Cannabis Services manages financial operations for a portfolio of affiliated companies spanning... ..., and rigorous liquidity planning. We need a dedicated Treasury Manager who owns the cash function completely: daily positioning...SuggestedDay shift- We are looking for a Treasury Manager to oversee liquidity, funding relationships, and capital utilization for a financial organization operating in Minneapolis, Minnesota. This position plays a key role in managing daily cash activity, supporting lender and investor reporting...Suggested
- ...Cash (O2C), Procure-to-Pay (P2P), accounting, Month-End Close, treasury, and FP&A. This role requires both strategic thinking and... ...distribution environment. Key Responsibilities Financial Process Management Analyze, document, and continuously improve processes including...SuggestedPermanent employment
- ...cycle optimization including vendor onboarding, purchase order management, invoice processing, and payment workflows Identify automation... ..., and business reviews Partner with Accounting, FP&A, and Treasury teams to automate recurring reporting packages and reduce manual...SuggestedContract workLocal area
$28.35 - $33.31 per hour
...time. Apply customer payments, maintain account balances, and support accounts receivable collections. Assist with all cash management and treasury functions globally for all bank accounts to ensure all cash transactions are applied in the ledger following IDQ's...Hourly payWork at office3 days per week$113.4k - $194.4k
...standardized accounting outcomes Ensures accounting logic aligns with financial reporting requirements and general ledger structures Manages end-to-end transactional data flows into the general ledger Oversees transaction ingestion, transformation, and posting from...Work experience placementWork at office3 days per week$78k - $85k
...Experience working with an ERP/accounting system; experience with Great Plains (GP) is a plus. Strong attention to detail and ability to manage multiple deadlines. Ability to recognize unusual activity and take ownership of issues through resolution. Strong written and...Full timeTemporary workLocal area$121k - $140k
...close, and reporting are optimized, automated, and fully aligned with business objectives. Key Responsibilities Financial Process Management: Analyze, document, and continuously improve processes including customer invoicing, collections, cash application, month‑end...Permanent employment$80k
Built on meritocracy, our unique company culture rewards self-starters and those who are committed to doing what is best for our customers. Brown & Brown is seeking a Senior Accounting Specialist to join our growing team in Bloomington, MN! The Accounting Sr Specialist ...Hourly payWork at office- Description The BaaS Accounting Analyst job family supports the accounting, reconciliation, invoicing, contract monitoring, control execution, and financial reporting processes associated with FinTech and Banking as a Service relationships. Positions within this job family...Full timeContract work
$65k
Howden Re in Edina, MN is seeking an Accounting and Claims Associate to join our team. You’ll work with clients who have suffered a loss and coordinate with reinsurers to move claims through to settlement, ensuring timely funding to clients. The role requires attention ...Full timeWork at office$65k - $80k
...commercial real estate investors, providing our clients access to experts in debt, equity, investment sales, loan servicing, and fund management. We offer you a career path with best-in-class training, and we foster inclusive teams committed to collaboration, mentoring, and...Full timeWork experience placementStart working todayWork at officeRemote workFlexible hours- ...estate solutions for entrepreneurial owners/investors, corporations, institutional, and governmental clients. Currently, the largest management services company headquartered in Ohio, our portfolio has over 100 million square feet of assets in 31 states. The profile...Full timeWork at officeLocal area
- At Minnesota Cannabis Services, we’re not just building businesses — we’re building the people who make them great. Our team partners with leading operators across cultivation, manufacturing, distribution, and retail to deliver world-class expertise in legal, finance, ...Full time
$54.6k - $69k
...What Your Day Looks Like as an Accountant: Performing month end processing, journal entries and account reconciliations Managing state sales and income tax liabilities and registrations Performing a daily check of bank accounts and make AR entries in Certinia...Full timeWork at officeLocal areaRemote workMonday to FridayFlexible hours2 days per week$55k - $65k
...related financial software. Ability to function as part of a team and the ability to work independently. Must have good time management and the ability to meet deadlines. Accuracy and attention to detail. Must have customer service orientation and ability to...Full timeLocal area$60k
...Principal Objectives of the Property Accountant Principal Objective of Position : The Property Accountant is responsible for managing accounting functions, including cash management, payroll accounting, accounts payable, accounts receivable and monthly, quarterly...Full timeLocal area- ...reliable followâup skills Ability to work independently and take initiative Strong organizational skills with the ability to manage multiple priorities Staff Accountant Benefits Include: ~16 days PTO plus holidays available during first year of employment...Full timeContract workTemporary workImmediate startRelocation
- ...or related field required. Minimum of two years of experience in internal audit, public accounting, finance, compliance, or risk management. Knowledge, Skills, and Abilities: Experience auditing financial processes and internal controls. Knowledge of internal control...Work at office
$55.9k - $72k
...audit efficiency, risk identification, and assurance over operational processes. Maintain active and effective communication with management and Internal Audit team to manage expectations, deadlines, and deliverables. Identify and communicate opportunities for control...Temporary workWork at officeLocal area$65k - $75k
...Job Description Job Description Job Title: Treasury Accountant Location: Richfield, MN (This is a fully onsite role location... ...with strong experience in cash receivables and overall cash management . This position plays a critical role in overseeing day-to-day...Full timeTemporary workLocal areaFlexible hours- ...Position Title: Treasury Management Officer Reports To: SVP - Treasury Management Location: Minnesota, HQ Luminate Bank is redefining what modern banking can be. In just five years under its current leadership, the company has grown from a $62 million community bank into...Flexible hours
$62.76k - $87.86k
...master data, ensuring accuracy of remit addresses, tax IDs, payment terms, and banking details. Process Improvement and Systems Management Support the implementation and enhancement of AP systems, automation tools, and digital workflows to improve speed, accuracy,...Full time$52k - $70k
...Accountant to help support day-to-day accounting operations in a fast-paced, hands-on environment. This role will primarily focus on managing a high volume of employee credit card transactions, expense documentation, and job cost allocation while also assisting with...Full time- Midwest Fisheries Center PositionThis position is located within the Department of the Interior, U.S. Fish and Wildlife Service, Region 3, Midwest Fisheries Center. This position requires on-site presence. The selected applicant will be expected to report to one of the...
- ...Summary The Financial Management Division, Budget Branch is responsible for the budget formulation and execution process. The incumbent performs a wide variety of analytical duties connected with the formulation, justification, presentation, evaluation, execution, monitoring...Permanent employmentFull timeTemporary workPart timeWork at office
- We are looking for an Accounts Receivable Analyst to support receivables management and customer account resolution for a service-focused organization in Minneapolis, Minnesota. This Long-term Contract position is ideal for someone who combines strong analytical ability...Long term contract
$72.5k - $101.5k
.... Analyze financial results, account activity, and period-over-period variances to identify trends, explain changes, and support management reporting. Perform cash-related accounting activities, including reviewing cash postings, supporting cash account reconciliations...Work at officeLocal area- ...considers consequences of future actions. Works independently with other Finance team members, departments, locations, & Accounting Unit Managers to resolve accounting matters. Develops solutions to a variety of problems of simple to moderate scope and complexity....Interim role
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Manager. Be the first to apply!





