Treasury serp_jobs.h1.location_city
serp_jobs.job_alerts.create_a_job
Treasury • quincy ma
- serp_jobs.job_card.promoted
Treasury Manager
Ropes & GrayBoston, MA, US- serp_jobs.job_card.promoted
Treasury Analyst
Boston Public Health CommissionBoston, MA, US- serp_jobs.job_card.promoted
- serp_jobs.job_card.new
Vice President, Treasury
AffirmBoston, Massachusetts, United States- serp_jobs.job_card.promoted
Treasury Management Officer - Multinational Corporations
JPMorgan ChaseBoston, MA, USSr. Treasury Analyst
The Panther GroupBoston, MA, US- serp_jobs.job_card.promoted
Treasury Management Officer - Multinational Corporations
ChaseBoston, MA, USSenior Director, Treasury
Creation TechnologiesBoston, MA, USA- serp_jobs.job_card.promoted
Treasury Claims Analyst Senior - Remote
Prime TherapeuticsBoston, MA, United States- serp_jobs.job_card.promoted
Treasury Forecasting Analyst
Blue Cross Blue Shield of MassachusettsBoston, MA, United States- serp_jobs.job_card.promoted
Senior Director, Treasury
Creation Technologies LP.Boston, MA, United StatesTreasury Director
VirtualVocationsDorchester, Massachusetts, United StatesTreasury Analyst
Global AtlanticBoston, Massachusetts, United States- serp_jobs.job_card.promoted
Finance Associate, Treasury
SDL Search PartnersBoston, MA, United StatesTreasury Analyst
InogenBoston, MA, US- serp_jobs.job_card.promoted
Treasury Clearing Implementation Consultant / Analyst
SamprasoftBoston, MA, US- serp_jobs.job_card.promoted
Treasury Forecasting Analyst
Boston StaffingBoston, MA, US- serp_jobs.job_card.promoted
Associate Treasury Analyst (Summer 2026)
Liberty Mutual InsuranceBoston, MA, United States- serp_jobs.job_card.promoted
Client Services Treasury Manager
KKRBoston, MA, USSAP Treasury Manager
DeloitteBoston, Massachusetts, USTreasury Manager
Ropes & GrayBoston, MA, US- serp_jobs.job_card.full_time
Treasury Manager
This role is responsible for the cash and banking activities of the firm. This includes managing the cash management structure, and serving as the face of the firm to existing and prospective banks, and other financial institutions, for all prospective services. The Treasury Manager is responsible for developing and promoting a vision of a more efficient and technology-driven global cash system to support the firm's growth. This includes expanding the capabilities of the treasury management system, and integrating them into other areas of Finance to improve reporting and forecasting. This role also manages all aspects of the firm's insurance program, and assumes the lead in the annual renewal process for each of the program's constituent liability, property, and cyber policies.
The Treasury Manager is responsible for overseeing a broad range of the Firm's global treasury functions including but not limited to :
Cash Management
- Continually update the annual US cash projection with inputs from the firm's banks and multiple internal financial sources
- When cash flow is negative, use this projection to determine a daily borrowing position; borrow only an optimal amount by considering loan types that balance lowest rate with maximum payment flexibility
- Negotiate overnight investment rates with Credit bankers when cash flow is positive; execute daily investments; recommend time deposits if cash flow is sufficiently strong
- Work with other analysts to refine an alternate US cash forecast tied to the overall plan
- Expand the US-only projection to include international cash flow forecasts
- Continually monitor all international cash accounts
- Ensure all international offices are funded optimally with only minimal incremental borrowing
- Repatriate excess foreign currency cash to the US; exchange for dollars to reduce interest expense or increase interest income
- Ensure the firm's banking platforms are functioning satisfactorily at all times so that dozens of users can perform their jobs; resolve platform issues with a bank's customer support team as needed
- Serve as the primary user and administrator of the treasury management system and all banking platforms; modify components, resolve technical issues, and ensure users always have unimpeded access.
- Expand use of current treasury management system by creating useful reports and ensuring all payments are processed via the platform.
- When a platform transition between banks is contemplated, analyze competing options and recommend a solution; manage the subsequent transition.
- Prioritize opening new bank accounts when needed for new or existing offices.
Banking Relations
Revolving Credit Maintenance
Interest Expense
Foreign Bank Account Reporting
Foreign Exchange
Insurance Management
Other Responsibilities
Performs other work-related duties as assigned
Education, Experience and Skills Required
Compensation and Total Rewards Package
Ropes & Gray is proud to offer a comprehensive Total Rewards package to our business support team members. The firm also offers comprehensive health and well-being benefits, personal and professional development, career growth opportunities and a collegial and supportive culture. The anticipated pay range for this role is listed below and represents our good faith and reasonable estimate of the starting salary range at the time of posting. In addition, this role is eligible for a discretionary bonus based on performance. The actual offered rate for this position will be determined based on job-related, non-discriminatory factors, including qualifications and experience, geographic location, education, external market data and consideration of internal equity.
Working Conditions
This position requires hybrid on-site presence as an essential function of the role. Consistent and predictable on-site presence is required for ongoing business continuity, professional development and effective collaboration with colleagues and management.