This is a full-time position that is responsible for managing the finances and investments for the True companies, a group of commonly owned companies. This includes overseeing cash management, cash forecasting, investment strategy, debt management, treasury workstation, credit facility negotiations, and maintaining relationships with banks and financial institutions. Includes directing, managing, supervising, planning, and coordinating the activities and operations of the Treasury Department and its staff. To perform this job successfully, an individual must be able to perform each essential duty satisfactorily with or without reasonable accommodation.
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