
Manager, Treasury
International Market CentersLas Vegas, NV
Automate your job search with Sonara.
Submit 10x as many applications with less effort than one manual application.1
Reclaim your time by letting our AI handle the grunt work of job searching.
We continuously scan millions of openings to find your top matches.

Job Description
What You'll Do
Manage the company's day-to-day treasury activities, including cash, liquidity, banking, and debt compliance.
Responsibilities
- Manage cash positioning and cash flow forecasting.
- Oversee bank account administration, controls, and signatory management.
- Serve as primary contact with banking partners; negotiate services and fees.
- Monitor debt facilities, borrowing capacity, and covenant compliance.
- Support new debt issuance, refinancing, and related compliance reporting.
- Review and process wires, ACH, and other treasury disbursements.
- Maintain relationships with credit card partners and manage merchant accounts
- Develop and maintain Treasury policies, procedures, and internal controls.
- Identify opportunities for efficiency in treasury operations and systems.
- Partner with Accounting, FP&A, Tax, and Legal on capital planning.
- Provide regular cash and liquidity reporting to CFO/SVP.
- Assist with fraud prevention and risk management initiatives.
Candidate Profile
- Self-motivated, hands-on, and comfortable managing treasury activities independently.
- Strong attention to detail with a high degree of accuracy and integrity.
- Analytical thinker with ability to interpret financial data and identify risks/opportunities.
- Effective communicator who can explain complex financial concepts to non-finance leaders.
- Skilled at building strong relationships with banks, internal teams, and external partners.
- Organized, deadline-driven, and able to manage multiple priorities.
- Flexible and adaptable in a growing, changing environment (REIT transition).
- Collaborative team player who works well across Accounting, Tax, FP&A, and Legal.
Qualifications
- Bachelor's degree in Finance, Accounting, or related field.
- 5-7 years of treasury, corporate finance, or cash management experience.
- Experience with cash forecasting and liquidity planning.
- Strong Excel and financial modeling skills.
- Knowledge of debt facilities and covenant reporting.
- Prior commercial real estate experience (preferred, not required).
- Certified Treasury Professional (CTP) or similar designation (preferred).
Automate your job search with Sonara.
Submit 10x as many applications with less effort than one manual application.
