SBG
SBG9d ago
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Treasury Manager

CzechiaCzechiaHybridmid
Finance & AccountingTreasury Manager
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Quick Summary

Key Responsibilities

Manage liquidity and ensure accurate cash positioning Align and monitor cash flow across multiple bank accounts Maintain global bank balance reporting and funding

Requirements Summary

Previous experience in treasury, banking, cash or liquidity management Understanding of SOX requirements and compliance Strong communication skills with i

Technical Tools
Finance & AccountingTreasury Manager

Resideo is looking for a confident and communicative Treasury Manager to join our team in Brno. In this visible individual contributor role, you will manage the banking portfolio across EMEA, while contributing to selected global initiatives.

 

This is a high-impact position where you will ensure funding is in place, maintain e‑banking access, and optimize bank fee management. You will play a key role in ensuring effective cash flow across a complex network of bank accounts, helping the business meet its obligations - from suppliers and payroll to tax authorities on time. 

 

Managing liquidity effectively is critical to the success of the organization, and your work will directly support supply chain, tax, payroll, and finance operations globally. You will work closely with internal teams such as Controllership, P2P, C2C, IT, as well as external partners including banks, auditors, and authorities. The role combines operational treasury responsibilities with strategic project involvement, giving you the opportunity to influence future liquidity models and treasury transformation initiatives

 

 

  • Manage liquidity and ensure accurate cash positioning
  • Align and monitor cash flow across multiple bank accounts
  • Maintain global bank balance reporting and funding requirements
  • Update internal and external stakeholders on a daily basis
  • Manage e-banking user access and controls
  • Maintain SOX compliance and controls
  • Analyze and optimize bank fees
  • Support and lead treasury-related projects (e.g., netting, direct debits implementation)
  • Reconcile and categorize banking transactions vs. forecasts

 

 

Requirements

~1 min read
  • Previous experience in treasury, banking, cash or liquidity management
  • Understanding of SOX requirements and compliance
  • Strong communication skills with internal and external stakeholders
  • High attention to detail and strong analytical skills
  • Fluent English (additional languages are a plus)

 

 

  • Knowledge of e-banking platforms
  • Experience in cash flow forecasting and liquidity management
  • Proactive mindset and strong collaboration skills
  • Project management capabilities and ability to drive change
  • Confidence working in a global, matrix environment 

 

 

  • A highly visible role with exposure to global stakeholders
  • Opportunity to work for a Fortune 500 global company
  • Involvement in strategic transformation projects
  • Career growth opportunities within a global organization
  • A chance to shape the future treasury operating model
  • 5 weeks of paid vacation
  • Hybrid work model
  • Flexible working hours
  • On-site canteen & home office meal vouchers
  • Pension plan or DIP contributions
  • Discounted phone plans & company product discounts
  • Multisport Card & cafeteria program

 

 

#LI-SG1

#LI-HYBRID

 

Location & Eligibility

Where is the job
Czechia
On-site within the country
Who can apply
CZ

Listing Details

Posted
June 29, 2026
First seen
July 3, 2026
Last seen
July 7, 2026

Posting Health

Days active
0
Repost count
0
Trust Level
52%
Scored at
July 3, 2026

Signal breakdown

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SBGTreasury Manager