S.r Director of Treasury

Barton Malow Holdings LLC

Southfield, MI

JOB DETAILS
SKILLS
Accounting, Asset Management, Bank Management, Banking Services, Business Administration, Capacity Management, Capital Markets, Cash Management, Certified Public Accountant (CPA), Channel Strategies, Chartered Financial Analyst (CFA), Communication Skills, Construction, Corporate Finance, Economics, Finance, Financial Planning and Analysis (FP&A), Financial Risk, Financial Statements, Forecasting, Hedge Funds, Insurance, Interest Rates, Investment Services, Leadership, Legal, Liquidity, Maintain Compliance, Operational Strategy, Organizational Development/Management, Presentation/Verbal Skills, Process Improvement, Public/Media/Press/Analyst Relations, Real Estate Development, Relationship Management, Request for Proposals (RFP), Risk, Risk Management, Sales Management, Strategic Planning, Tax Accounting, Team Player, Treasury, Treasury Management, Underwriting
LOCATION
Southfield, MI
POSTED
2 days ago

Position Summary

Barton Malow seeks a Senior Director of Treasury to join the corporate Finance leadership team. This role is a high-visibility, succession-track position reporting directly to the Senior Vice President of Finance. It is designed for a seasoned finance executive who brings deep expertise in treasury management, and capital markets - skillsets that are critical to Barton Malow's next phase of growth.

The Senior Director will own the company's treasury and cash management function, and serve as a strategic partner to the CFO and Finance leadership team.

Leadership Profile

The ideal candidate is a hands-on finance executive who combines strategic vision with operational rigor. They thrive in a collaborative, relationship-driven culture, bring a builder's mindset to organizational development, and are motivated by the opportunity to grow into enterprise-wide leadership. This individual will be a cultural fit for Barton Malow's values of integrity, teamwork, and excellence.

Key Responsibilities

Treasury + Cash Management

  • Own enterprise-wide cash forecasting, liquidity planning, and working capital optimization across all business units and project portfolios.
  • Manage all banking relationships, including credit facilities, letters of credit, and revolving lines of credit; lead periodic banking RFPs.
  • Oversee investment of corporate cash in alignment with the Cash Management Committee's policy and risk appetite.
  • Manage surety and bonding relationships - a mission-critical function for construction operations - including capacity planning, financial statement preparation for sureties, and ongoing relationship management.
  • Lead interest rate and counterparty risk management; evaluate hedging strategies where appropriate.
  • Develop and maintain treasury policies, controls, and reporting frameworks; ensure compliance with debt covenants.

Finance Leadership + Strategic Partnering

  • Serve as a senior partner to the CFO and SVP of Finance on capital structure, strategic planning, and enterprise financial risk.
  • Collaborate with the Directors of Accounting, Tax, and FP&A to ensure treasury is fully integrated into reporting, forecasting, and compliance frameworks.
  • Represent Finance on the Cash Management Committee; contribute to enterprise risk and insurance strategy alongside the Risk and Legal teams.
  • Maintain and strengthen relationships with external partners including asset managers, sureties, auditors, and investment banks.

Qualifications

Required

  • Bachelor's degree in Finance, Accounting, or Economics; MBA or advanced degree strongly preferred.
  • 12+ years of progressive corporate finance experience, with demonstrated depth in treasury.
  • Proven track record managing complex banking relationships, surety programs, or project-based working capital in a capital-intensive industry.
  • Executive-level communication skills; able to present confidently to C-suite, Board, and external financial partners.
  • High integrity, sound judgment, and the ability to operate with discretion on sensitive strategic matters.

Preferred

  • CPA, CFA, or Certified Treasury Professional (CTP) designation.
  • Experience in construction, real estate development, infrastructure, or another project-based business.
  • Familiarity with contractor financial statements, surety underwriting, and bonding capacity mechanics.
  • Experience managing or building a treasury function in a privately held or employee-owned company.

About the Company

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Barton Malow Holdings LLC