Treasury Management Technical Solutions Consultant
By U.S. Bank National Association At , Chicago, 60604 $131,240 - $169,840 a year
Excellent presentation, training, verbal, and written communication skills
Demonstrated consultative, solutions-based selling background and experience
Bachelor's degree, or equivalent work experience
10+ years of demonstrated consultative, solutions-based sales experience preferably in selling multiple, complex integrated solutions to a variety of customers
Partner closely with sales and product executives to plan and support complex corporate sales opportunities
Collect and understand the market landscape to position US Bank favorably against industry competition
Treasury Management Officer - Multinational Corporations - Middle Market Banking
By JPMorgan Chase Bank, N.A. At , Chicago, Il $123,500 - $178,000 a year
Six plus years of cash management, sales and relationship management experience
Knowledge and understanding of Treasury Service products, credit and risk process, overdraft management discipline, and pricing philosophy
Strong time management, organizational and planning skills
Grow revenue by successfully prospecting and sourcing new treasury management business while retaining and expanding existing customer relationships.
Manage the non-credit risk for customer portfolio and monitor and enhance profitability of all assigned relationships
Success developing new business with focus on prospecting utilizing strong selling and negotiation skills

Are you looking for an exciting opportunity to join a dynamic team in Treasury Management? We are looking for a Treasury Management Specialist to join our team and help us manage our financial resources. You will be responsible for developing and implementing strategies to maximize our cash flow, minimize our risk, and ensure our financial stability. If you have a passion for finance and a knack for problem-solving, this could be the perfect job for you!

Overview A Treasury Management Specialist is responsible for managing the financial resources of an organization. They are responsible for developing and implementing strategies to maximize the organization’s cash flow, minimize financial risk, and ensure compliance with all applicable laws and regulations. They also provide guidance and advice to senior management on financial matters. Detailed Job Description A Treasury Management Specialist is responsible for managing the financial resources of an organization. This includes developing and implementing strategies to maximize the organization’s cash flow, minimize financial risk, and ensure compliance with all applicable laws and regulations. They also provide guidance and advice to senior management on financial matters. The Treasury Management Specialist is responsible for monitoring and analyzing the organization’s financial performance, developing and implementing strategies to optimize cash flow, and managing the organization’s investments. They are also responsible for developing and maintaining relationships with banks and other financial institutions. Job Skills Required
• Knowledge of financial management principles and practices
• Knowledge of banking and investment products and services
• Knowledge of financial markets and instruments
• Knowledge of accounting principles and practices
• Knowledge of financial analysis and forecasting
• Knowledge of financial regulations and compliance
• Excellent analytical and problem-solving skills
• Excellent communication and interpersonal skills
• Ability to work independently and as part of a team
• Ability to manage multiple projects simultaneously
• Proficiency in Microsoft Office Suite
Job Qualifications
• Bachelor’s degree in finance, accounting, or a related field
• Master’s degree in finance, accounting, or a related field preferred
• Professional certification in treasury management preferred
• 5+ years of experience in financial management
Job Knowledge
• Knowledge of financial management principles and practices
• Knowledge of banking and investment products and services
• Knowledge of financial markets and instruments
• Knowledge of accounting principles and practices
• Knowledge of financial analysis and forecasting
• Knowledge of financial regulations and compliance
Job Experience
• 5+ years of experience in financial management
• Experience in treasury management preferred
Job Responsibilities
• Monitor and analyze the organization’s financial performance
• Develop and implement strategies to optimize cash flow
• Manage the organization’s investments
• Develop and maintain relationships with banks and other financial institutions
• Provide guidance and advice to senior management on financial matters
• Ensure compliance with all applicable laws and regulations
• Prepare financial reports and presentations for senior management