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Hilb Group

Senior Treasury Manager

Hilb Group

. Manage all banking relationships and procedures, including openings/closings, signer management, user access, and support .

Posted 9/17/2026full-timeBoston • Massachusetts • United StatesSenior💰 $110,000 - $140,000 per yearWebsite

Core Competencies

Role fit
Core Competencies

Use this summary to align your resume positioning with the role.

Demonstrates extensive experience in treasury management and cash operations, with a strong focus on process improvement and risk management. Proven ability to lead teams and collaborate effectively across departments in a commercial real estate investment environment.

Highest-signal resume keywords
Treasury ManagementCash ManagementProcess ImprovementERP SystemsCommercial Real Estate Experience

ATS Keywords

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Applicant Tracking System Keywords

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Hard Skills
Cash ConcentrationWire TransfersACH PaymentsDebt AdministrationOperational ExcellenceInternal Control DocumentationRisk IdentificationSolution DevelopmentTeam LeadershipEscalation Management
Soft Skills
Cross-Departmental CommunicationCollaboration
Tools & Technologies
Treasury Management SystemsERP Systems
Industry Keywords
Commercial Real EstateBanking RelationshipsAsset ManagementCash ProcessesFinancial Procedures

Tech Stack

Tools & technologies
ERP

About the role

Key responsibilities & impact
  • Manage all banking relationships and procedures, including openings/closings, signer management, user access, and support
  • Oversee wire transfers, ACH payments, and cash concentration activities
  • Evaluate treasury management systems and implement process improvements
  • Maintain treasury policies, procedures, and internal control documentation
  • Own the Quarterly Asset Management and cash processes, including triaging to appropriate team members
  • Work closely with the Controller to manage and rectify escalations from the Treasury Team
  • Build and maintain strong cross-departmental communications
  • Provide support to the accounting department
  • Lead banking administration, cash management, and treasury operations across a complex commercial real estate investment platform
  • Ensure efficient cash movement, operational excellence, business continuity, and continuous process improvement
  • Partner with accounting and business stakeholders

Requirements

What you’ll need
  • At least 6 years of progressive treasury and cash management experience with strong hands-on operational involvement
  • Bachelor's degree in Finance, Accounting, Economics, or related field
  • Master's degree preferred
  • Ability to identify risks, develop solutions, and drive process improvements
  • Strong understanding of cash management, debt administration, and treasury operations
  • Experience working with ERP and treasury management systems
  • Commercial real estate or multi-entity experience preferred
  • Ability to lead staff and offshore resources
  • Must be able to legally work in the U.S.; applicants are asked whether they require sponsorship
  • Willingness and ability to work onsite in Boston, MA

Benefits

Comp & perks
  • Medical, Vision, Dental
  • 401 (k) with company match
  • Generous PTO package, including sick time and paid holidays
  • Bonus eligible