We are recruiting a Treasury & Risk Manager on behalf of a progressive North American clean resource and materials company for their office located in Reno, NV.
This role will lead critical aspects of treasury operations, oversee corporate insurance, and help strengthen risk governance across a fast-moving, mission-driven organization.
BENEFITS:
- Pay: $145k – $155k/year salary. If your target pay is higher, we still encourage you to apply—we could request adjustments based on experience and market conditions.
- Bonus: 30% STI & LTI targets.
- Relocation Assistance.
- Paid Time Off: 3 – 4 weeks.
- Wellness Plan: $1,500/year.
- 11 main and 2 floating holidays.
- Comprehensive health, dental, and vision insurance.
- 401k + match .
- Other great benefits!
RESPONSIBILITIES:
- Treasury Operations: Support core corporate treasury functions, including medium- and long-term cash management, liquidity forecasting, and financial reporting.
- Banking & Systems: Manage banking relationships, support capital management strategies, and assist in implementing future treasury management systems and process improvements.
- Business Partnership: Act as a strategic partner to the commercial team and assist the accounting team with revenue recognition matters.
- Insurance Portfolio Management: Oversee the company’s corporate insurance programs, including policy renewals, claims coordination, and broker engagement.
- Risk Governance: Support the development, execution, and continuous improvement of the Enterprise Risk Management (ERM) program.
- Risk Assessments: Coordinate internal risk assessments, maintain corporate risk registers, and prepare concise materials for executive and board-level reporting.
- Compliance & Audits: Ensure compliance with internal controls and directly support audit activities related to the treasury and risk functions.
- Culture Champion: Build and maintain trusted relationships across all teams while championing a culture that reflects and supports our Purpose, Vision, and Values.
QUALIFICATIONS:
- Bachelor’s degree in Finance, Accounting, Business or another related field.
- 5+ years of experience in treasury, corporate finance, risk management, or related disciplines.
- Experience with cash management, banking operations, and insurance program administration.
- Familiarity with ERM frameworks and risk assessment methodologies.
- Strong analytical, organizational, and communication skills.
- Ability to collaborate effectively across departments and manage external partners (banks, brokers, insurers).
- Proficiency with Excel and financial systems; experience with treasury management systems is a huge plus.
Application Process
If your experience matches the description above, submit your resume, and one of our recruiters will be in touch to tell you more about the position and learn more about your experience and aspirations.
If your experience does not match this job description, we still encourage you to reach out to one of our recruiters, so we can learn about your professional aspirations for future job openings.
About Bemana
Bemana provides recruiting services to the nation’s equipment and industrial sectors. Our clients and candidates value us for our specialized recruiting expertise, vast knowledge of the equipment and industrial job market, and ability to solve their most challenging employment needs. We have successfully recruited thousands of top-level professionals filling a wide range of management, sales, engineering, and technical positions across the nation.
Welcome to Bemana and we look forward to getting to know more about you.
Referral Program
Bemana offers a $500 reward for referrals that lead to a hire. So, if this job or location is not for you, but you know someone that might be interested, send them this link and we’ll send you a check if they get hired. Terms & conditions apply.