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Treasury Manager
American TowerTreasury Manager overseeing cash management operations and strategic initiatives at American Tower. Collaborating with cross-functional partners to provide financial support and improve treasury functions.
Posted 6/10/2026full-timeBoston • Massachusetts • 🇺🇸 United StatesMid-LevelSenior💰 $117,000 - $147,500 per yearWebsite
Tech Stack
Tools & technologiesERPOracle
About the role
Key responsibilities & impact- Oversee a broad range of treasury activities, including cash management operations, liquidity, investments, foreign exchange, cash forecasting, and reporting.
- Lead strategic initiatives, including providing support for regional finance teams, implementing treasury projects, and generating continuous process improvements for treasury and payment functions.
- Collaborate with cross-functional partners, including Accounting, Tax, Legal, Business Development, Finance, and external banking partners.
- Manage cash management operations, including bank accounts.
- Execute investments and foreign exchange for the Latin America and North America regions in accordance with the direction of the Treasurer; provide support for FX risk management.
- Develop and produce Treasury department key performance indicator reports.
- Oversee a team responsible for cash forecasting and variance analysis for the Americas. Drive short-term liquidity forecasting process with local finance teams.
- Manage debt administration related to all unsecured external debt borrowings and securitizations, and debt covenant compliance activities within the Americas.
- Support intercompany funding execution within the Americas, including the implementation of processes needed to comply with local regulations.
- Support Capital Markets initiatives and the generation of continuous process improvements for various treasury and payment functions.
- Complete incorporation of intercompany loan management into Reval.
- Support 13-week and full-year cash flow forecasting.
- Manage processes and procedures used to update the company’s daily cash position.
- Lead integration of Treasury function for any business acquisitions in the Americas.
- Respond to internal and external audit requirements and inquiries. Ensure Sarbanes-Oxley Act compliance with respect to applicable Treasury-related key controls in the region.
- Maintain relationships with several different internal departments, including Financial Planning and Analysis, Tax, Accounting, Business Development, and Legal.
- Maintain relationships with banks.
- Oversee monitoring of bank services and related fees.
- Provide coverage and support for other Treasury team members.
- Assist with meeting regular and ad hoc deadlines for projects, occasionally requiring evening and weekend availability.
- Lead and develop a high-performing Treasury team, fostering a collaborative and results-driven environment.
- Manage end-to-end talent lifecycle, including recruiting, onboarding, coaching, and retention in partnership with HR and senior leadership.
- Drive performance management processes, setting clear goals, conducting regular feedback and evaluations, and ensuring timely communication of expectations and updates.
- Address employee relations matters proactively, partnering with HR to resolve issues and support a positive team culture.
Requirements
What you’ll need- Bachelor’s degree required, with a concentration in Accounting or Finance preferred.
- MBA preferred.
- Between 3-6 years of progressively responsible managerial experience in a treasury and/or finance organization required.
- ERP system experience (Oracle preferred)
- Treasury management system experience (Reval preferred).
- Knowledge of principles and practices of cash management and treasury functions preferred.
- Spanish and/or Portuguese proficiency preferred.
- Strong communicator and relationship builder, with the ability to think analytically and creatively while managing multiple priorities, meeting deadlines, and adapting to changing business needs.
- Strong computer skills, including Microsoft Office suite and particularly Excel and PowerPoint; ability to quickly learn other software tools.
- Self-motivated; able to work both independently to complete tasks and respond to requests and with others to utilize their resources and knowledge to identify quality solutions.
- Strong organization, planning, and project management skills; ability to prioritize tasks for self and team to meet requirements and deadlines.
- Strong leadership skills; ability to drive and motivate team to achieve results.
- Ability to work in a time-sensitive, high volume environment.
- Strong written and oral communication skills, including the ability to present ideas and suggestions clearly and effectively.
- Strong organizational skills; ability to accomplish multiple tasks within agreed upon timeframes through effective prioritization of duties and functions in a fast-paced environment.
- Up to 15% travel may be required to support the position’s responsibilities.
Benefits
Comp & perks- healthcare coverage
- 401(k) savings plan
- paid time off
- company holidays
- sick leave
- parental leave
- access to an Employee Assistance Program focused on mental and financial wellness
ATS Keywords
✓ Tailor your resumeApplicant Tracking System Keywords
Tip: use these terms in your resume and cover letter to boost ATS matches.
Hard Skills & Tools
cash managementliquidity managementforeign exchangecash forecastingdebt administrationvariance analysiscapital marketsfinancial analysistreasury managementprocess improvement
Soft Skills
strong communicatorrelationship builderanalytical thinkingproject managementleadershipself-motivatedorganizational skillsadaptabilityteam collaborationtime management
Certifications
Bachelor's degreeMBA