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Senior Manager - Treasury and Cash Management Services

Sia · Charlotte, NC, United States · Posted Jul 9, 2026

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Role Overview

We are seeking a Senior Manager with significant experiences in Treasury Management Services for major financial services companies. This motivated leader will work closely with Sia go-to-market (“GTM”) and delivery teams to win and deliver the full stack of treasury services client engagements including cash flow & liquidity management, payment & collections, risk mitigation & fraud prevention and information reporting. With support from Sia’s global network of subject-matter experts and client credentials, this individual will be a key contributor to the growth of Sia’s Financial Services & Insurance Business Unit especially in North America.

Key Responsibilities:

Provide expert guidance on different payments, treasury and/or liquidity management, commercial card, working capital products for corporate and commercial customers

Provide expert guidance on best practices regarding digital strategy for products, platform management (Wires, ACH, Lockbox, Receivables)

Provide expert guidance on best practices regarding client management success, including service, implementation, and incident management processes and framework

Support clients in creation of product pipelines, product requirements and user stories, product road maps, and high-level strategic planning

Familiarity with associated regulators and applicable regulations (i.e., ISO, OCC, FED)

Assess and interpret emerging regulatory trends, supervisory expectations, and enforcement actions to develop compliance strategies, regulatory frameworks, and internal policies to align with industry best practices

Enable client delivery with project management best practices, particularly using the Scaled Agile Framework

Drive and own client accounts, owning responsibility for client satisfaction and delivery excellence.

Project & Client Management

Collaborate with internal and client project team members, and contribute to internal communications and readiness activity within the program team and with client groups

Manage multiple consulting engagements across one or multiple client accounts, ensuring on-time and high-quality deliverables

Provide status reporting of progress, dependencies, issues, risks and overall program health to Senior Management

Lead cross-functional teams and collaborate with clients to drive project execution

Drive business development by leading proposals, client presentations, and thought leadership, identifying leads and business development opportunities for both new and existing accounts

This job description is not intended to be all inclusive. Duties, responsibilities, and qualifications may be added, deleted, or modified at any time based on business needs.

9+ years of experience working in Treasury Management, Cash Management, and Payments related organization (i.e. Tier 1 bank, FinTech, or Payments related role within your organization).

Bachelor’s degree required in Finance, Business Management, or a related field from an accredited college/university is required, Master's degree is preferred

Strong domain expertise with related products and associated platforms: Cash management products and services (examples explicitly referenced include lockbox, electronic funds transfer, automated clearing).

Liquidity management, cash flow forecasting, and working capital optimization.

Understanding of core treasury activities and metrics (e.g., cash concentration, wires, account funding, and reporting on cash position / liquidity metrics).

Infrastructure and services behind transaction banking, and how treasury management intersects with payments and FX.

Payments regulations and related issues affecting financial services organizations in the US.

Practical understanding of what modern treasury platforms enable, including: Integration across systems/data inputs, real-time cash positioning, cash-flow forecasting, and payments initiation-to-reconciliation 28

Support for risk exposure management plus investment/debt management activities

Comfortable advising on (and challenging) bank/client stakeholders on products, trends, and processes at both strategic and operational levels.

High level understanding of payments protocols (i.e. specifications and use of APIs), security best practices and standards, payments fraud, and compliance metrics and measures.

Experience leading Treasury Management and Cash Management product strategy down to product implementations, developing Strategic Roadmaps and the end to end payments lifecycle, and advising leadership on industry trends and best practices

Experience with payment gateways, acquiring and issuing banks, and payments processors

Understanding of the full payments ecosystem, payments operations and partnerships

Excellent communication and stakeholder engagement skills, with the ability to convey complex concepts to senior executives.

Project management skills, with experience overseeing Treasury Management, Cash Management, and/or payments initiatives and coordinating cross-func…

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