Treasury Manager
RSM US LLP · Chicago, IL
📍 Chicagovia workdayFirst listed here 2026-09-26
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We are the leading provider of professional services to the middle market globally, our purpose is to instill confidence in a world of change, empowering our clients and people to realize their full potential. Our exceptional people are the key to our unrivaled, culture and talent experience and our ability to be compelling to our clients. You’ll find an environment that inspires and empowers you to thrive both personally and professionally. There’s no one like you and that’s why there’s nowhere like RSM.
The Treasury Manager is responsible for overseeing the firm’s global daily cash-management activities, ensuring sufficient liquidity to meet operational and financial obligations while optimizing available cash.
This role manages daily cash positioning, cash-flow forecasting, banking activities, payments, short-term investments and borrowing, bank relationships, treasury accounting, and general ledger activities. The Cash Manager will collaborate with Accounting, Accounts Payable, Accounts Receivable, FP&A, Tax, and business leaders to improve cash visibility, maintain accurate financial records, and support liquidity decisions.
Location:
Chicago or New York City - Hybrid
Key Responsibilities
Daily cash and Liquidity Management
Manage daily cash positioning across the firm’s bank accounts and legal entities
Monitor cash balances, inflows, outflows, and upcoming funding requirements
Ensure sufficient liquidity is available to meet payroll, vendor payments, tax payments, debt obligations, and other operational requirements
Initiate or coordinate intercompany and interbank transfers to efficiently concentrate and deploy cash
Manage and monitor the daily flows of the cash pooling structure across multiple bank partners
Optimize the use of excess cash, including short-term investments or debt repayment, in accordance with the firm’s policy
Monitor available credit facilities and coordinate short-term borrowings when necessary
Identify opportunities to reduce idle cash, avoid unnecessary borrowing, and improve working-capital efficiency
Oversee daily banking activities, including cash administration, payments, collections, funding, and account management
Review and approve wire transfers, ACH payments, and other non-routine transactions in accordance with delegated authority
Manage bank accounts, authorized signers, account documentation, and online banking access
Cash-Flow Forecasting and Reporting
Prepare and maintain short- and medium-term cash-flow forecasts in the CFF platform including daily, weekly, monthly, and quarterly liquidity projections
Partner with FP&A, Accounting, Accounts Payable, Accounts Receivable, Tax, Payroll to collect and validate forecast inputs.
Analyze actual cash flows against forecasts and explain material variances
Identify potential liquidity surpluses or shortfalls and recommend appropriate actions
Treasury Accounting and General Ledger
Oversee the accurate and timely recording of cash transactions in the general ledger
Prepare, review, and approve journal entries related to cash, bank fees, interest income and expense, investments, debt, and intercompany transfers
Perform and review bank-to-general-ledger reconciliations and ensure reconciling items are resolved promptly
Research cash and general ledger discrepancies and coordinate corrections with Accounting and operational teams
Support month-end, quarter-end, and year-end close activities related to cash and treasury accounts
Support internal and external audit requests related to cash balances, bank reconciliations, and treasury transactions
Support the implementation and optimization of treasury management systems, ERP platforms, bank connectivity, and payment technologies
Develop procedures and training materials for new or revised cash-management and accounting processes.
Required Qualifications
Bachelor degree in Finance, Accounting, Economics, Business Administration, or a related field.
Five to seven years of progressive experience in corporate treasury, cash management, general ledger accounting, or a related finance function.
Demonstrated experience with daily cash positioning, liquidity management, cash-flow forecasting, payment operations, and bank-account administration.
Hands-on general ledger experience, including journal entries, account reconciliations, variance analysis, and financial close activities.
Strong understanding of cash inflows and outflows, working capital, banking products, short-term investments, and credit facilities.
Advanced Microsoft Excel skills, including financial analysis, reconciliations, forecasting, and large-data-set management.
Experience using treasury systems and accounting systems, online banking platforms, and financial-reporting tools.
Ability to manage competing deadlines and execute accurately in a high-volume environment.
Preferred Qualifications
Certified Treasury Professional (CTP), Certified Public Accountant (CPA), or progress toward a relevant professional certification
Experience with a treasury management system such as Kyriba, GTreasury, FIS, or SAP Treasury.
Experience with ERP systems such as Workday, SAP, Oracle, or NetSuite
Familiarity with bank connectivity and payment formats, including APIs, SFTP, SWIFT, ACH, wires, and ISO 20022
Experience in a multi-entity, multinational, or decentralized organization
Knowledge of cash pooling, intercompany funding, debt, and short-term investment products.
Experience supporting the financial close and external audit processes for a publicly traded or similarly complex organization.
At RSM, we offer a competitive benefits and compensation package for all our people. We offer flexibility in your schedule, empowering you to balance life’s demands, while also maintaining your ability to serve clients. Learn more about our total rewards at https://rsmus.com/careers/working-at-rsm/benefits .
All applicants will receive consideration for employm
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