Treasury Manager

The Wills Group

  • La Plata, Maryland
  • 2 days ago

    Highlights

    This role provides insight into the company’s liquidity position, supports cash and investment decisions, maintains strong treasury controls, and partners closely with Accounting, FP&A, business leaders, and banking partners. The Treasury Manager oversees daily treasury operations, cash and liquidity management, banking activities, and treasury reporting and forecasting.

    Numbers & Facts

    LocationLa Plata, Maryland

    Description

    Description

    Position at Wills Group, Inc

    Treasury Manager 

    Location: La Plata, MD | Hybrid: Tuesday & Thursday in office 

    About the Role

    The Treasury Manager oversees daily treasury operations, cash and liquidity management, banking activities, and treasury reporting and forecasting. This role provides insight into the company’s liquidity position, supports cash and investment decisions, maintains strong treasury controls, and partners closely with Accounting, FP&A, business leaders, and banking partners. The role also directly manages one Treasury Staff Accountant.

    How You'll Make an Impact

    • Oversee cash positioning, liquidity monitoring, forecasting, and weekly cash activity.
    • Develop and enhance treasury reporting, dashboards, KPIs, and rolling cash forecasts.
    • Partner with FP&A, Accounting, Development, and business stakeholders to incorporate cash flow, capital, and financing needs into forecasts.
    • Support investment planning and monitor debt covenants, liquidity requirements, and banking agreements.
    • Manage banking relationships, account access, banking fees, and operational activities.
    • Review cash, debt, interest, reconciliations, and treasury-related transactions to support month-end close and audits.
    • Maintain strong internal controls, policies, and procedures around cash and banking activity.
    • Identify opportunities to improve treasury processes, systems, reporting, and cash visibility.
    • Lead and develop the Treasury Staff Accountant through coaching, prioritization, and technical guidance.

    What We're Looking For

    • Bachelor's degree in Accounting, Finance, or related field.
    • 4+ years of progressive experience in treasury, cash management, or accounting.
    • Experience with cash activity, bank reconciliations, treasury controls, and audit requirements.
    • Previous management experience strongly preferred.
    • Strong Excel and ERP/system skills; experience with PDI and banking platforms is a plus.
    • Strong analytical, communication, leadership, and problem-solving skills.
    • Experience in a SOX or audit-supported environment is a plus.

    Schedule: Monday–Friday, 8:00 AM–4:30 PM, with Tuesday–Thursday in office and Monday/Friday remote. Occasional after-hours work and travel may be required.

    Why Join Wills Group?

    Wills Group is a family-owned, $1.5 billion company headquartered in La Plata, Maryland, with nearly 300 locations across the Mid-Atlantic. Our brands include Dash In, Splash In ECO Car Wash, and SMO Motor Fuels.

    We offer competitive compensation and benefits, including a 7% 401(k) match, 100% tuition reimbursement, hybrid flexibility, paid time off, parental leave, and comprehensive health benefits.

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