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Buckingham Search Linkedin · Posted 10d ago

Finance Manager

Hoffman Estates, Illinois, United States

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Finance & Treasury Manager

Hoffman Estates, IL | 4 days work from home a month, or 1 per week


The Finance & Treasury Manager will play a critical role in protecting and maximizing the Company’s financial resources while helping shape broader finance and treasury strategy. This is a highly visible position that combines treasury management, financial planning & analysis, capital strategy, risk management, and business partnership.


Working closely with the Director of Finance & Treasury, VP of Finance & Treasury, CFO, and cross-functional leadership, this individual will help guide decisions around cash management, working capital, capital structure, financing, foreign exchange, interest rate risk, insurance, budgeting, and forecasting.


This is an excellent opportunity for a finance professional who enjoys being both strategic and hands-on, wants meaningful exposure to senior leadership, and is looking to make a measurable impact on a growing organization.


Responsibilities:

  • ~90% finance, ~10% treasury
  • Lead annual budgeting and forecasting processes, partnering with functional leaders to develop accurate financial plans and identify key business drivers.
  • Oversee financial planning and budgeting technology, maximizing system capabilities and identifying opportunities for continued improvement.
  • Develop dashboards and reporting tools that provide senior leadership with visibility into cash performance, financial KPIs, and other critical business metrics.
  • Perform financial analysis, including ROI and investment analysis, to support major capital requests and strategic business decisions.
  • Work closely with business leaders to improve the accuracy and effectiveness of financial analysis and forecasting.
  • Partner with the Director of Finance & Treasury, VP of Finance & Treasury, and CFO on corporate finance and treasury initiatives.
  • Develop and maintain policies related to capital structure, working capital, cash management, foreign exchange, interest rates, treasury operations, and insurance risk.
  • Identify opportunities to strengthen financial processes, improve operational efficiency, and optimize the Company's financial resources.
  • Participate in benchmarking and strategic projects across areas such as transportation, purchasing, operations, disposal, and network optimization.
  • Contribute to industry committees and professional groups as needed.
  • Develop and execute treasury strategies, policies, and processes designed to optimize the Company's cash position while maintaining strong financial controls and safeguards.
  • Oversee daily cash management and liquidity planning to support ongoing business operations.
  • Partner with senior leadership on capital structure, borrowing, investing, working capital, foreign exchange, interest rate, and financial risk management initiatives.
  • Build and maintain strong relationships with key banking partners and stay informed on banking and treasury market trends.
  • Partner with Accounting to ensure cash, financing, and other treasury-related transactions are accurately recorded.
  • Train, mentor, and supervise a Junior Financial Analyst supporting budgeting, forecasting, and financial analysis.
  • Serve as a trusted finance partner to leaders and employees across the organization.
  • Promote continuous improvement and identify opportunities to enhance financial and operational processes.


Qualifications:

  • Bachelor's degree with 7+ years of Finance experience
  • Strong experience in financial analysis, budgeting, forecasting, and cash management.
  • Advanced Microsoft Excel skills and strong analytical capabilities.
  • Demonstrated ability to work effectively with leaders and cross-functional teams.
  • Experience presenting financial information and insights to management.
  • Experience training, mentoring, or managing team members.
  • Strong understanding of business processes and financial operations.
  • Ability to translate financial data into actionable business recommendations.


Preferred Qualifications

  • Experience with NetSuite budgeting and planning tools.
  • Treasury, corporate finance, FP&A, banking, or financial risk management experience.
  • Experience supporting capital planning, working capital optimization, or financing initiatives.


Why Join?

  • Competitive salary
  • Medical & Dental coverage
  • 401(k)
  • Paid Time Off
  • Short-Term Disability
  • Life & Accident Insurance
  • Advancement and career development opportunities
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