Treasury Manager Jobs in Massachusetts
Treasury Manager jobs in Massachusetts are in strong demand, concentrated in financial services, higher education, biotechnology, and healthcare, with openings from early-career analysts stepping into treasury roles through seasoned directors overseeing enterprise-wide cash management. The heaviest hiring is in Boston, Cambridge, and Worcester, where institutions like Fidelity Investments, State Street, and Partners HealthCare (Mass General Brigham) maintain large treasury and finance functions. The most sought-after specialties in Massachusetts are cash flow forecasting, debt and capital markets management, and risk mitigation for complex multi-entity organizations. Find a role that fits below and apply directly.
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*"This role will be based in our Norwood, MA office and will follow our Hybrid Work Schedule**
Pay Range: $115,000.00 - $140,000.00 annually (based on experience and qualifications)
OVERVIEW OF ROLE:
We are looking for a strong Treasury Manager who will play a critical role in managing the company's liquidity, cash flow, banking relationships, debt obligations, and treasury-related processes. The ideal candidate will have a strong accounting foundation, excellent attention to detail, and the ability to independently manage complex processes. This individual should be highly organized, technology savvy, and comfortable working with large volumes of financial data across multiple systems. We are looking for a self-motivated professional who takes ownership of responsibilities, identifies issues and opportunities, can effectively manage competing priorities, and collaborates well with internal and external stakeholders in a fast-paced environment.
ESSENTIAL DUTIES AND RESPONSIBILITIES:
- Prepare, maintain, and regularly update the company's 13-week cash flow projection, incorporating expected receipts, disbursements, operating requirements, debt activity, and other significant cash movements.
- Monitor daily cash balances and liquidity across bank accounts and ensure sufficient funds are available to meet the company's operating and financing obligations.
- Post cash entries, perform cash reconciliations, and investigate and resolve discrepancies between bank activity, cash records, and the general ledger.
- Manage loan repayment and borrowing activities, including coordinating funding requirements, repayments, and related documentation with lenders and internal stakeholders.
- Support the financing and refinancing of term loans, mortgages, and equipment financing for the business and its affiliates, including coordinating with lenders and internal stakeholders and maintaining related documentation.
- Prepare and maintain borrowing base reports and supporting schedules in accordance with lender requirements.
- Prepare monthly or quarterly covenant compliance certificates and supporting schedules in accordance with applicable lender requirements.
- Monitor debt balances, borrowing availability, repayment schedules, and compliance with applicable lending requirements.
- Track interest expense, including actual results, accruals, debt activity, and interest rate changes, and prepare interest expense projections for financial planning and forecasting purposes.
- Maintain accurate schedules for outstanding borrowings, interest expense, and other financing-related activities.
- Partner with Corporate Accounting and FP&A to ensure treasury activity is accurately reflected in the company's financial reporting, forecasts, and cash flow projections.
- Facilitate state tax return preparation and filing processes in coordination with outside accountants, including gathering information, reviewing supporting schedules, and responding to questions and requests.
- Lead and coordinate business use tax filings and related compliance requirements.
- Maintain organized documentation and supporting schedules for treasury, debt, tax, and cash management activities.
- Identify opportunities to improve treasury processes, reporting, controls, and efficiency through technology and automation.
- Develop and maintain financial models, reports, and analyses to support cash management, liquidity planning, borrowing decisions, and other treasury activities.
- Perform other duties and ad hoc analysis as assigned.
EDUCATION AND/OR EXPERIENCE:
- Bachelor's degree in accounting or a related field required; BS in accounting strongly preferred.
- 5+ years of accounting, treasury, finance, or related experience, with experience in cash management, debt, banking, or treasury operations required.
- Strong understanding of accounting principles and financial statement concepts, with the ability to understand how treasury activities flow through the financial statements.
- Demonstrated experience with cash flow forecasting, cash reconciliation, debt management, borrowing, or related financial processes.
- Strong attention to detail and a high level of accuracy when working with financial data, reconciliations, schedules, and reporting.
- Highly organized with the ability to manage complicated, interconnected processes independently and meet deadlines with minimal supervision.
- Self-starter with the ability to take ownership, identify issues, follow through on resolutions, and drive projects forward.
- Technology savvy, with the ability to learn and effectively use financial systems, banking platforms, reporting tools, and other technology.
- Advanced proficiency in Microsoft Excel and Microsoft Office applications.
- Experience with Microsoft Dynamics D365 is a strong plus.
- Strong analytical and problem-solving skills, with the ability to investigate discrepancies and develop practical solutions.
- Excellent communication and collaboration skills, with the ability to work effectively with Finance, Accounting, FP&A, Operations, external accountants, banks, and lenders.
- Ability to manage multiple priorities and work effectively in a fast-paced environment while maintaining a high level of accuracy.
- Demonstrates a strong work ethic, reliability, sound judgment, and consistent follow-through.
- Ability to balance hands-on execution with a broader understanding of the company's liquidity, financing, and financial objectives.
- Prior experience with borrowing base reporting, lender reporting, state tax compliance, or business use tax is a strong plus.
Exciting Benefits Await You!
- Enjoy top-tier Medical, Dental, Vision coverage.
- Pamper your furry friends with Pet Insurance.
- Stay fit with our Wellness Plan and Gym Reimbursement.
- Boost your skills with Employee Tuition Reimbursement.
- Unlock endless opportunities with College Scholarship for dependents.
- Reap the Rewards of Our Bonus Program Available to Our Salary and Hourly Employees.
- Receive a Generous 401k Company Match.
- Take advantage of Competitive Paid Time Off.
- Elevate Your Safety Net with Company-Sponsored Life Insurance Coverage.
- Receive Relocation Assistance for a Smooth Transition.
- Earn Rewards through our Employee Bonus Referral Program.
- Elevate Your Workplace Experience with Community Impact Opportunities.
- Celebrate Together with Team Events and Seasonal Workplace Gatherings.
Opportunity Calls! Unsure if you meet all requirements? Don't hesitate, apply!
Our recruitment process is prompt and transparent. Your resume will receive swift attention from our talent professionals. If chosen, you'll undergo a recruiter phone screen, followed by interviews with key team members. We value your potential.
At Home Market Foods, we champion equal opportunities for all, prohibiting discrimination based on race, religion, gender, and more. Our commitment extends across all aspects of employment, ensuring a fair and inclusive workplace.
At this time, Home Market Foods will not sponsor applicants for employment authorization for this position for the following work visas: STEM OPT EAD, H-1B, H-1B1, E-3, O-1, J-1, or TN
See All 6 Treasury Manager Jobs in Massachusetts
Find roles in Massachusetts that match your experience and apply in just a few clicks.
Find Treasury Manager JobsTreasury Manager Jobs by City in Massachusetts
Where Massachusetts roles are concentrated, by current openings.
Treasury Manager Job Market in Massachusetts
A snapshot from current Massachusetts openings, updated as new roles post.
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What Massachusetts Employers Look For
The qualifications that appear most often in treasury manager jobs across Massachusetts.
- Certified Treasury Professional (CTP) credential preferred or required by most Massachusetts employers
- Bachelor's degree in finance, accounting, or economics with five or more years of treasury experience
- Demonstrated experience managing corporate liquidity, cash positioning, and banking relationships
- Proficiency with treasury management systems such as Kyriba, FIS, or SAP Treasury
- Strong working knowledge of debt covenants, credit facilities, and capital markets instruments
- Experience collaborating with audit, accounting, and legal teams on compliance and financial reporting
Treasury Manager Jobs in Massachusetts: Frequently Asked Questions
How do you become a treasury manager in Massachusetts?
Most treasury managers in Massachusetts start with a bachelor's degree in finance, accounting, or economics, then build several years of experience in cash management, financial analysis, or corporate banking. Massachusetts does not require a state-issued license for treasury management, but the Certified Treasury Professional designation from the Association for Financial Professionals is the recognized credential that Massachusetts employers consistently prioritize when evaluating candidates for manager-level roles.
Which companies hire treasury managers in Massachusetts?
Employers hiring treasury managers in Massachusetts right now include PwC, Flywire, and Franklin Sports, based on current listings on Migrate Mate as of September 2026. Massachusetts's concentration of major financial institutions, large academic medical centers, and global biotechnology firms means treasury roles here tend to involve significant complexity and multi-entity oversight.
Which Massachusetts cities have the most treasury manager jobs?
Boston, Norwood, and Stoughton have the most treasury manager openings in Massachusetts. Boston drives the largest share given its density of asset managers, regional bank headquarters, and major hospital systems, while Cambridge and Worcester contribute openings from the life sciences and higher education sectors that anchor those metro areas.
Are there remote treasury manager jobs in Massachusetts?
Yes, though they are less common than in purely analytical roles, since treasury managers often need direct access to banking portals, treasury systems, and finance leadership. About 100% of treasury manager openings tied to Massachusetts are remote or hybrid as of September 2026. The functions most frequently offered on a remote or hybrid basis include cash forecasting, financial modeling, and reporting, rather than day-to-day banking operations or team oversight.
How can I get hired as a treasury manager in Massachusetts with little or no experience?
The most realistic entry path is through a financial analyst or treasury analyst role at a large Massachusetts employer, where you can build direct exposure to cash management, bank reconciliations, and liquidity reporting. Major institutions like Fidelity Investments, Mass General Brigham, and large regional banks regularly bring on junior finance professionals who rotate through treasury functions. Pursuing the Certified Treasury Professional designation early and gaining experience with treasury management systems will distinguish you when competing for your first manager-level opportunity.
Where can I find and apply to treasury manager jobs in Massachusetts?
You can find and apply to treasury manager jobs in Massachusetts on Migrate Mate, which lists current Massachusetts openings across financial services, healthcare, biotechnology, and higher education employers. Find the roles that fit your experience and apply directly to the ones that match.
See All 6 Treasury Manager Jobs in Massachusetts
Find roles in Massachusetts that match your experience and apply in just a few clicks.
Find Treasury Manager Jobs