Manager - Corporate Finance & Treasury
$120k - $150kMutual of Omaha Mortgage
Manager-Corporate Finance& Treasury Qualifications The ideal candidate will have a strong background intreasury,accounting,andfinancialmodeling/forecastingwithexceptional analytical skills and the ability to collaborate effectively with cross-functional teams. Bachelor's degree in Accounting, Finance, or related field Proficient inaccounting andfinancial managementsoftware and Microsoft Office products, particularly MS Excel Excellent communication and interpersonal skills 7+ years of related professionalAccounting/Finance experience CPA,CTP, FPAC,or similar professional designation preferred Mortgage industryexperience preferred Compensation Range: $120,000 - $150,000 Responsibilities Treasury Operations & Controls Serve as primary day-to-day contact for bankingplatformpartners Own the Company's bank account governance framework, including account establishment, maintenance, closure, and periodic review processes Maintain and administer bank account access governance, including user provisioning, periodic access certifications, role reviews, and segregation of duties requirements Oversee GNMA custodial account liquidity management and compliance with applicable operational and funding requirements Establish, document, and enforce treasury-related fraud prevention controls, including payment verification procedures, wire controls, approval workflows, and monitoring activities Design andmaintainpayment approval workflows and supporting documentation standards to ensureappropriate authorization, transparency, and auditability of cash movements Establish,maintain, and enhance treasury policies, procedures, and controls to safeguard Company assets and support regulatory, audit, and corporate governance requirements Liquidity & Cash Management Manage andoptimizedaily cash positioning across all legal entities, bank accounts, and operating activities to ensure efficientutilizationof Company liquidity Develop,maintain, and enhance short-term cash flow forecasting processes, including daily, weekly, and monthly liquidity forecasts Coordinate intercompany cash movements to support efficient liquidity management and funding needs across legal entities Own the design, maintenance, and rationalization of the Company's bank account structure to support operational efficiency, control requirements, and minimization of idle cash balances Establish and enforce wire and ACH governance processes, including payment approval structures, authorization controls, cut-off management, and escalation procedures Identifyand evaluate opportunities tooptimizeworking capital, including migrating vendor payments to credit card spend, exploring alternatives for travel and expense (T&E) management, and assessing other financing and banking platformcapabilities ExternalDebt CovenantReporting Prepare monthly and quarterly debt covenant reporting using financial information prepared by the controller function and other internal contributors Preparecondensed US GAAP balance sheet, income statement, and cash flow statement on a quarterly basisfor regulators usingtrial balance providedby the controller function Financial Planning & Analysis Lead annual financial planand monthly financial re-forecastprocess,developingkeyinputs with stakeholders andanalyzing historical and current trends toassessotherbudget assumptions Usebudgeting, financial forecasting and modeling tools toforecastbalance sheet positions over the forecast period, includingliquidity and capitalpositions Implement department-level budgets for corporate functions,facilitatingthenear-term and long-term planning for these functions andenablingappropriate allocationsbased on cost-drivers Create forward-looking financial models and analyses to support key future growthopportunitiesand strategic projects Systems & Process Optimization Develop treasury reporting, dashboards, and key performance indicators to support executive decision-making and liquidity oversight Review and enhance treasury processes, structures, and systems to drive simplification, standardization, automation, and scalability Partner with Accounting, FP&A, Capital Markets, Servicing, and Operations to ensure treasury activities are integrated into broaderfinancial managementprocesses Support treasury-relatedand FP&A-relatedtechnology initiatives, banking platform enhancements, and process improvement projectswith research, planning, and implementation, asrequired Identify, recommend, and execute on improved budget and forecasting methods tooptimizenear and long-termliquidity and capitalplanning Assistbusiness leaders withidentifyingand trackingkey financial performance indicators and objectives Supportsenior management team and operations leadership with in-depth analysis of core and ad hoc capital management projects Mutual of Omaha is a Fortune 300 Company. Mutual of Omaha Mortgage is inspired by hometown values and a commitment to being responsible and caring for each other. We exist for the benefit of our customers and employees. Mutual of Omaha Mortgage is a full-service lending company offering both Forward and Reverse Mortgage products including a complete line of residential mortgage, refinancing, specialty, and HECM loans. We employ a knowledgeable staff of experienced Loan Officers with an operations team that is second to none. Mutual of Omaha Mortgage is an Equal Opportunity Employer, and we encourage diverse, talented, qualified applicants to apply.We offer an extensive compensation package. Benefits include: Vacation - Vacation hours accrue on a per pay period basis. Balance maximums are based on years of service. Paid Sick Time - 40 hours of paid sick time after 90 days of employment. State sick time requirements will be added as needed. 9Paid Holidays + 1 Cultural Celebration Day (Floating Holiday) Multiple PPO Medical Plans, as well as HDHP eligible plan. Dental Coverage Vision Coverage Company Paid Life Insurance 401K with a generous employer match Additional Benefits including - Optional Life, FSA, Pet Insurance etc. Free Legal Services Employee Loan Program #J-18808-Ljbffr Mutual of Omaha Mortgage
$120k - $147k
...evolving business needs.OverviewThe Accounting Manager - Financial Systems & Controls serves as a critical link between Accounting, Finance, and Information Technology, responsible... ...CollaborationCollaborate with FP&A, Tax, Treasury, and regional finance teams to ensure...SuggestedFull timeWork at office$135k - $145k
...beautiful Downers Grove, IL corporate headquarters! Enjoy flexibility... ...and Consolidations and will manage 2 direct reports in the US and... ..., investor relations, tax, treasury, legal and HR.This role is responsible... ...accounting or finance degree requiredCPA requiredStrong...SuggestedTemporary workWork experience placementWork at officeLocal areaHome officeFlexible hours$130k - $145k
...closely with the local accounting and finance teams in the U.S. and globally. This... ...a key role in supporting regional management with complex accounting matters and... ...regional finance leads, accounting, tax, treasury, and other Corporate functions. This is an important role...SuggestedFull timeLocal area- Mutual of Omaha Mortgage seeks a senior finance leader to own treasury operations, liquidity management, and debt covenant reporting. The role collaborates with Accounting... ...compensation range and a path to shape corporate finance strategy within a Fortune 300 parent company...Suggested
$179.2k - $235.2k
Job Title: Finance Controller Location(s): Lisle, IL Company OverviewFounded... ...recognitions by Forbes, Corporate Knights for clean capitalism... ..., Shared Services, Tax, Treasury, HR, and Operations teams, the... ...leaders to support liquidity management and cash flow optimizationOversee...SuggestedHourly payFull timeTemporary workLocal areaFlexible hours- Power Services Group, Inc. is seeking a Treasury Associate to support daily treasury operations, liquidity management, and banking activities. The role reports to the Assistant... ...candidate has 2+ years in treasury or related finance roles, with strong Excel skills and the...
- ...continued growth, we are seeking a Treasury Associate to join our finance team and support critical treasury... ...daily treasury operations, liquidity management, and banking activities while... ...investing excess cash in accordance with corporate investment policies and guidelines...Temporary work
- Addison Group is recruiting a Treasury Analyst for our finance organization in Downers Grove. The role focuses on managing daily cash, supporting debt administration, and maintaining banking relationships in a collaborative, fast-paced environment. The ideal candidate...Work at office
$65k - $70k
...is partnered on the search for a Treasury Analyst to join our growing finance organization. This role is ideal for... ...candidate with some experience in corporate treasury or public accounting who... ...Treasury Analyst will play a key role in managing the company's daily cash position,...Work at officeRemote work$70k - $80k
Job Description The Treasury Analyst at Worldpac will play a key... ...functions, focusing on cash management, liquidity monitoring, banking... ...operations, compliance with corporate policies, and the effective... ...cash management. Banking & Financing Assist in coordinating with...Local area$120k - $140k
...Description: The Accounting Manager supervises all general accounting... ..., coordinating the entity’s treasury operations and the... ...include:The coordination of daily financing activities with the Company’s... ...balance sheet accounts to various corporate business units. 3)...Summer work$175k - $215k
...Finance DirectorFarnsworth Group is seeking a Finance Director to join our team. In this... ...leadership and oversees all aspects of financial management, planning, analysis, and reporting for... ...real estate leases.3- 5 years of Treasury and Portfolio management experience.Technical...Full timeTemporary workWork at office- ...Position Summary The Finance Manager will oversee all financial activities of the U.S. subsidiary, including budgeting, forecasting, financial... ...jurisdictions. Manage cash flow, banking relationships, and treasury functions. Implement and maintain internal controls, policies...Local area
- ...role is responsible for the leadership, management and oversight of all accounting, financial... ...serves as a key member of the Finance team, providing insight, managing accounting... ...commercial bank experience in accounting, treasury management or finance, with a proven track...Full timeWork at officeFlexible hours
$250k - $320k
...Responsibilities of the CFO Lead all accounting, finance, treasury, budgeting, forecasting, and financial... ...for budgeting, forecasting, cash flow management, and financial performance analysis.... ..., risk management practices, and corporate governance standards. Lead...- Castle Cars of Downers Grove is seeking an experienced Finance & Insurance Manager to drive profitability by structuring deals and presenting financing options to customers. You will manage the financing process, work with lenders, ensure compliance with all laws, and deliver...
- Finance & Insurance Manager Are you an experienced Automotive Sales Manager and ready for your next move? Or have you been working as an F&I Manager and looking for a dealership with high earning potential? If you have strong numbers in the box, can effectively manage...Local area
- ...month-end and quarter-end closes, oversee treasury activities, and partner with executive... ...years in public accounting or 5+ years corporate accounting with supervisory experience,... ...exposure; mortgage banking/real estate finance background is a plus. #J-18808-Ljbffr LHH
- ...Rapidly Growing, Commercial Asset Management, Investment Lending Position... ..., timely financial reporting. Treasury & Reconciliation: Oversee bank reconciliations, corporate account management, and... ...banking, lending, or real estate finance is highly advantageous. Core Competencies...
$110k - $125k
...leads daily accounting and financing support activities, directs... ...applicable. The role oversees treasury and disbursement controls, balance... ..., coaching, and performance management, and partners cross-... ...treasury operations, loan funding, corporate banking, or a related...$124.82k - $187.23k
Job Summary The Senior Finance Manager, Procurement is a strategic business partner to the Procurement organization, responsible for driving... ...throughout project lifecycles.Ensure compliance with corporate capital governance and investment approval requirements.Financial...Full timeContract work$150k - $185k
...your career in areas that energize and excite you. Senior Manager, Commercial Finance and TransformationThe Senior Manager, Commercial Finance &... ...Work:This is a hybrid-based role that will sit out of our corporate headquarters in Downers Grove, IL.Pay & Benefits:The salary...For contractorsFlexible hours- ...Park, Illinois, is looking for a Financial Manager to oversee accounting activities and... ...involves leading financial reporting, managing treasury operations, and ensuring compliance with... ...leadership skills, and proficiency in finance-related tools. The position offers...
$106.73k - $163.65k
...IFRS Reporting Manager Innovation. Sustainability. Productivity. This... ...Controllership, technical Accounting, Corporate Accounting, SEC Reporting, FP&A, Tax, Treasury, Legal, and external auditors.... ...with corporate and regional finance teams during monthly, quarterly,...Work at officeFlexible hours$52k - $101k
...Treasury Analyst 2 Huntington Distribution Finance, Inc. is seeking a detail-oriented and experienced Treasury Analyst 2 to support daily treasury operations... ...banking data to support efficient treasury management. Responsibilities Run and leverage SAP Business...Work at office- Worldpac seeks a Treasury Analyst in Oak Brook, IL to support daily cash management, liquidity monitoring, banking operations,... ...collaborate with accounting, finance, and operations to optimize cash... ...usage and ensure compliance with corporate policies. The role reports to...
- Insight Global seeks a Treasury Analyst 2 to support daily treasury operations across the U.S., Canada, Australia, and New Zealand. You... ...maintain accurate banking data to enable efficient treasury management. This hybrid role is based in Schaumburg, IL with three onsite...Work from home3 days per week
$125k - $160k
You may be our new Sr. Tax Manager Compensation: $125K -$160K Summary of the role... ...expertise and commercial guidance to finance, legal, treasury and business stakeholders. Key responsibilities... ...Compliance & Reporting - Lead all corporate income tax compliance activities...Local areaWork from home- ...seeking a detail-oriented and experienced Treasury Analyst 2 to support daily treasury... ...banking data to support efficient treasury management. Responsibilities na to determine the cash... ...Basic Qualifications Bachelor degree or finance/banking experience 3-5+ years of...Work from home
$110k - $130k
...agenda in procurement, cost management, and financial capability building... ...Procurement is the dedicated finance business partner to Worldpac'... ...optimization. Work with Treasury and Accounts Payable on payment... ...FP&A, commercial finance, or corporate finance experience, including...Contract workPart timeShift work
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