What are the responsibilities and job description for the Treasury Manager position at Fogelman Properties?
Fogelman is a nationally recognized leader in the multi-family industry. We are proud to have received several outstanding awards - #1 Best Place to Work in Multifamily, Top 50 Multifamily Property Management Firms, & Top 50 fastest growing companies, to name a few. It’s our company culture that makes the difference - a fun, family atmosphere with exceptional pay and recognition of our associates through appreciation events and individual awards. You will love working at Fogelman!
Position Overview:
Fogelman Properties is currently seeking a skilled and motivated Treasury Manager to join our dynamic team. The successful candidate will directly supervise at least one team member and will be a key player in leading our corporate and property cash management operations. If you're ready to lead a team, drive process improvements, and contribute to the financial success of a growing organization, we encourage you to apply.
Duties/Responsibilities:
If you are a highly organized and experienced cash management or treasury professional with a passion for leading teams and driving financial excellence, we would love to hear from you! Apply today to join the Fogelman Properties team.
Fogelman is a drug free workplace and Equal Opportunity Employer. Offers are contingent upon the successful completion of the pre-employment process which may include criminal background, motor vehicle reporting, drug testing, and reference checks.
Position Overview:
Fogelman Properties is currently seeking a skilled and motivated Treasury Manager to join our dynamic team. The successful candidate will directly supervise at least one team member and will be a key player in leading our corporate and property cash management operations. If you're ready to lead a team, drive process improvements, and contribute to the financial success of a growing organization, we encourage you to apply.
Duties/Responsibilities:
- Lead day-to-day cash management operations
- Assist in the development and implementation of goals and priorities for cash management
- Review, document, and maintain consistent cash management policies, practices and procedures; monitor for enhancements and updates
- Maintain and manage banking relationships and partners, ensuring alignment with the company’s financial goals. Negotiate banking services and fees to optimize financial operations.
- Provide leadership to a team of associates, fostering a culture of accountability, mentorship, and professional/personal growth.
- Oversee the administration of banking systems including bank account setup, signature documentation, and access maintenance, ensuring compliance with all regulatory requirements and best practices.
- Manage all aspects of the money movement process, including wires, ACHs, client payment processing, and bank transmissions.
- Serve as the primary point of contact for cash management inquiries and for addressing payment discrepancies and payment returns, and escalate challenges to senior leadership as needed.
- Oversee daily cash positioning activities, including managing daily liquidity, cash position reconciliation, and bank reporting.
- Identify opportunities for process optimization and automation, streamlining cash management workflows to enhance efficiency and accuracy.
- Implement best practices and continuously improve cash management policies, procedures, and internal controls in alignment with industry standards.
- Assist in the preparation of financial reports and ad hoc analysis for senior management.
- Other duties and special projects as assigned.
- In-depth knowledge of cash management systems, banking systems, and financial reporting processes.
- Strong decision making, problem-solving, and analytical skills, and ability to think critically in resolving payment and banking issues.
- Proven ability to manage, mentor, and develop a team in a fast-paced environment.
- Excellent communication and interpersonal skills, with the ability to collaborate across departments.
- Strong understanding of accounting concepts, industry accounting practices, GAAP, and cash management functions.
- Proficiency in advanced Excel, with the ability to analyze and manipulate large datasets.
- 4-year college degree or equivalent required.
- MBA and/or treasury certification (CTP) highly preferred.
- Cash management experience within the multi-family or property management industry is highly desirable.
- 6 years of experience in a related field, preferably in treasury, cash management, or finance.
- 2 years of experience in a leadership or management role.
If you are a highly organized and experienced cash management or treasury professional with a passion for leading teams and driving financial excellence, we would love to hear from you! Apply today to join the Fogelman Properties team.
Fogelman is a drug free workplace and Equal Opportunity Employer. Offers are contingent upon the successful completion of the pre-employment process which may include criminal background, motor vehicle reporting, drug testing, and reference checks.