What are the responsibilities and job description for the Treasury Manager position at MMC Group?
Throughout the past 30 years plus, MMC, one of the most trusted names in workforce management services, has successfully delivered strategic solutions to large and small businesses in numerous industries.
We have built our reputation on partnering with our clients and candidates to achieve the desired results. Our recruiting professionals have extensive experience matching the right candidate, to the right client, for the right position. We provide the best opportunities to the most talented candidates in a multitude of industries.
MMC is a privately owned business with corporate headquarters in Irving, Texas. With 2,000 employees, working in 40 states, MMC is able to support all United States locations, and some international locations.
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MMC strives to ensure all job posting confirm details of the position, the rate of pay, and acknowledge medical benefits are offered.
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We are an equal opportunity employer and all qualified applicants will receive consideration for employment without regard to race, color, religion, sex, national origin, disability status, protected veteran status or any other characteristic protected by law. In compliance with federal law, all persons hired will be required to verify identity and eligibility to work in the United States and to complete the required employment eligibility verification document form upon hire.
Job Requirements
Are you a highly motivated Treasury professional looking for an exciting opportunity? Join our dynamic Treasury team in North Dallas, Texas, as an Analyst, reporting directly to the Treasury Manager. This on-site role (3-4 days a week) offers a chance to dive into global treasury operations, including cash management, trade finance, insurance risk management, foreign exchange, and more.
In this role, you'll support performance management and succession planning, collaborate with various teams and stakeholders, ensure compliance with policies and controls, and proactively seek out areas to add value. Your responsibilities will span global cash management, short-term borrowing and investments, executing foreign exchange trades, maintaining pooling and account structures, and implementing funding and repatriation strategies. You'll also handle bank account administration, review and negotiate banking products and services, and work with key stakeholders to transform financial processes and drive automation.
On the trade finance front, you'll review and negotiate contract requirements, manage letters of credit and bank guarantees, and assist with insurance risk management, including annual renewals.
We're looking for someone with a Bachelor's degree in Finance, Accounting, or Economics (MBA, CPA, CTP, or CFA preferred), and 5-7 years of progressive Treasury experience. You should be detail-oriented with strong analytical, communication, and organizational skills, capable of analyzing data and situations, identifying critical issues, and leading appropriate actions. The ability to manage multiple priorities and work autonomously in a fast-paced environment is essential. Proficiency in MS Office (Excel, PowerPoint, and Word) is required.
If you're ready to make an impact and grow your career in a fast-paced, collaborative environment, we want to hear from you!