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HomeCompanies60e64b1d 9c08 400e 99a0 70f210319f28 9200079542950 2Treasury Manager

Treasury Manager

60e64b1d 9c08 400e 99a0 70f210319f28 9200079542950 2 · Dallas, TX, US, Dallas, TX · Deleted · ADP Workforce Now Recruiting

Job facts

FieldValue
Company60e64b1d 9c08 400e 99a0 70f210319f28 9200079542950 2
TitleTreasury Manager
Normalized title-
Department / team-
LocationDallas, TX, United States
Work model-
Employment typeFull Time
Salary-
Statusdeleted
ATS providerADP Workforce Now Recruiting
Posted / first seen2026-05-28 / 2026-05-31
Changed / last seen2026-06-04 / 2026-06-02

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Linked records

Company60e64b1d 9c08 400e 99a0 70f210319f28 9200079542950 2
Source8e573469-2464-4838-ae33-8e681c30bfd7
ATS providerADP Workforce Now Recruiting

Description

CENTURY GOLF PARTNERS MANAGEMENT, LP Golf Management Operating, LLC POSITION SUMMARY Century Golf Partners Management, LP is one of the largest privately held golf course management companies in the United States, overseeing operations across a diverse portfolio of courses and ownership structures. The Treasury Manager will report directly to the Corporate Controller and serve as the company's lead financial steward for all treasury operations. This is a highly visible role responsible for managing daily cash operations across approximately 130 bank accounts, supporting 25 ownership entities and 5 master accounts. The Treasury Manager will oversee liquidity management, banking relationships, cash forecasting, and treasury controls — while serving as a key partner to senior leadership and the accounting department. REPORTING STRUCTURE Reports To: Corporate Controller Direct Reports: To be determined based on candidate and organizational needs KEY RESPONSIBILITIES Cash & Liquidity Management Manage daily cash positioning across approximately 130 bank accounts spanning 25 ownership entities and 5 master accounts Prepare and distribute a daily cash flash report to senior management and ownership groups Develop and maintain short- and long-term cash flow forecasts to support operational and strategic planning Execute all wire transfers, ACH transactions, and inter-account fund movements with appropriate controls Monitor and manage liquidity to ensure adequate funding across all operating entities Banking Relationships & Account Administration Serve as the primary point of contact for all banking partners, with particular focus on Bank of America Coordinate the opening, closing, and maintenance of bank accounts, including signature cards, documentation binders, and correspondence Negotiate banking terms, fees, and service agreements to optimize the company's banking structure Manage all credit card processing setups for new accounts and entities Order and maintain bank supplies for all corporate and course-level accounts Controls, Compliance & Reconciliation Review and resolve positive pay exceptions daily to prevent fraudulent transactions Prepare and post all journal entries related to daily cash activity in the general ledger Assist with monthly bank statement reconciliations for master accounts and support the accounting department with additional reconciliations Maintain NACHA file transmissions and manage ACH file formats (SFTP, HTTPS, etc.) Ensure treasury processes are well-documented and audit-ready Reporting & Strategic Support Provide accurate, timely treasury reporting to the CFO and senior management Support month-end and year-end close processes as related to cash and treasury activities Identify and implement process improvements to increase efficiency and reduce risk in treasury operations Assist in evaluating and implementing treasury management systems or banking technology enhancements QUALIFICATIONS Education & Experience Bachelor’s degree in Finance, Accounting, or a related field required Minimum 5 years of progressive experience in treasury, cash management, or accounting Experience managing high-volume, multi-entity cash environments strongly preferred Hospitality, real estate, or multi-site operations experience a plus Certifications Certified Treasury Professional (CTP) strongly preferred Technical Skills Advanced proficiency in Microsoft Excel required (pivot tables, VLOOKUP, financial modeling) Experience with Bank of America CashPro platform preferred Familiarity with ERP/accounting systems (e.g., Sage, Oracle, or similar) Working knowledge of NACHA file formats and ACH transmission protocols (SFTP, HTTPS) Core Competencies Exceptional attention to detail and commitment to accuracy Strong analytical and problem-solving skills Excellent verbal and written communication skills; ability to present financial information clearly to non-finance stakeholders High degree of discretion and integrity in handling sensitive financial information Ability to manage competing priorities and meet deadlines in a fast-paced, multi-entity environment Collaborative mindset with the ability to work effectively across ownership groups and internal departments COMPENSATION & BENEFITS Century Golf Partners offers a competitive compensation package commensurate with experience, including: Competitive base salary (range to be confirmed based on experience) Annual performance bonus eligibility Comprehensive health, dental, and vision insurance 401(k) with company match Paid time off and company holidays Golf privileges at Century Golf managed courses THE DESCRIPTION MAY NOT BE ALL-INCLUSIVE AND EMPLOYEES ARE EXPECTED TO PERFORM ALL OTHER DUTIES AS ASSIGNED AND DIRECTED BY MANAGEMENT. POSITION DESCRIPTIONS AND DUTIES MAY BE MODIFIED WHENEVER DEEMED APPROPRIATE BY MANAGEMENT.

Full job record

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TitleTreasury Manager
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Activeno
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Apply URLhttps://workforcenow.adp.com/mascsr/default/mdf/recruitment/recruitment.html?cid=60e64b1d-9c08-400e-99a0-70f210319f28&ccId=9200079542950_2&lang=en_US&type=JS&jobId=565509&jwId=9201131191528_1
First Seen At2026-05-31 18:42:54Z
Last Seen At2026-06-02 08:44:18Z
Last Checked At2026-06-04 08:41:11Z
Last Changed At2026-06-04 08:41:11Z
Inactive At2026-06-04 08:41:11Z
Source Posted At2026-05-28 16:16:00Z
Source Updated At
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    "requisitionDescription": "<h1 style='margin-top:3.8pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:19px;font-family:\"Arial\",sans-serif;text-align:center;' data-pasted=\"true\"><span style=\"color:#1F4E79;\">CENTURY GOLF PARTNERS MANAGEMENT, LP</span></h1><h3 style='margin-top:2.9pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;text-align:center;font-size:15px;font-family:\"Arial\",sans-serif;'><span style=\"color:#585858;\">Golf Management Operating, LLC</span></h3><p style='margin-top:.2pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'>&nbsp;</p><h1 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:19px;font-family:\"Arial\",sans-serif;'>&nbsp;&nbsp;<br><span style=\"color:#1F4E79;\">POSITION SUMMARY</span></h1><p style='margin-top:5.85pt;margin-right:18.6pt;margin-bottom:.0001pt;margin-left:.25in;font-size:15px;font-family:\"Arial\",sans-serif;'>Century Golf Partners Management, LP is one of the largest privately held golf course management companies in the United States, overseeing operations across a diverse portfolio of courses and ownership structures. The Treasury Manager will report directly to the Corporate Controller and serve as the company&#39;s lead financial steward for all treasury operations.</p><p style='margin-top:6.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><p style='margin-top:0in;margin-right:16.15pt;margin-bottom:.0001pt;margin-left:.25in;font-size:15px;font-family:\"Arial\",sans-serif;'>This is a highly visible role responsible for managing daily cash operations across approximately 130 bank accounts, supporting 25 ownership entities and 5 master accounts. The Treasury Manager will oversee liquidity management, banking relationships, cash forecasting, and treasury controls &mdash; while serving as a key partner to senior leadership and the accounting department.</p><h1 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:19px;font-family:\"Arial\",sans-serif;'>&nbsp;<br><span style=\"color:#1F4E79;\">REPORTING STRUCTURE</span></h1><p style='margin-top:5.85pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:15px;font-family:\"Arial\",sans-serif;'>Reports To: Corporate Controller</p><p style='margin-top:2.95pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:15px;font-family:\"Arial\",sans-serif;'>Direct Reports: To be determined based on candidate and organizational needs</p><h1 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:19px;font-family:\"Arial\",sans-serif;'>&nbsp;<br><span style=\"color:#1F4E79;\">KEY&nbsp;RESPONSIBILITIES</span></h1><h2 style='margin-top:9.85pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Cash &amp; Liquidity Management</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Manage daily cash positioning across approximately 130 bank accounts spanning 25 ownership entities and 5 master accounts</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Prepare and distribute a daily cash flash report to senior management and ownership groups</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Develop and maintain short- and long-term cash flow forecasts to support operational and strategic planning</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Execute all wire transfers, ACH transactions, and inter-account fund movements with appropriate controls</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Monitor and manage liquidity to ensure adequate funding across all operating entities</li></ul></div><p style='margin-top:2.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.75in;font-size:15px;font-family:\"Arial\",sans-serif;margin:0in;'><br></p><p style='margin-top:.35pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><h2 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Banking Relationships &amp; Account&nbsp;Administration</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Serve as the primary point of contact for all banking partners, with particular focus on Bank of America</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Coordinate the opening, closing, and maintenance of bank accounts, including signature cards, documentation binders, and correspondence</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Negotiate banking terms, fees, and service agreements to optimize the company&#39;s banking structure</li></ul></div><ul><li>Manage all credit card processing setups for new accounts and&nbsp;entities</li><li>Order and maintain bank supplies for all corporate and course-level accounts</li></ul><p style='margin-top:.35pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><h2 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Controls, Compliance &amp; Reconciliation</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Review and resolve positive pay exceptions daily to prevent fraudulent transactions</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Prepare and post all journal entries related to daily cash activity in the general ledger</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Assist with monthly bank statement reconciliations for master accounts and support the accounting department with additional reconciliations</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Maintain NACHA file transmissions and manage ACH file formats (SFTP, HTTPS, etc.)</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Ensure treasury processes are well-documented and audit-ready</li></ul></div><p style='margin-top:2.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.75in;font-size:15px;font-family:\"Arial\",sans-serif;margin:0in;'><br></p><p style='margin-top:.35pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><h2 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Reporting &amp; Strategic&nbsp;Support</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Provide accurate, timely treasury reporting to the CFO and senior management</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Support month-end and year-end close processes as related to cash and treasury activities</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Identify and implement process improvements to increase efficiency and reduce risk in treasury operations</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Assist in evaluating and implementing treasury management systems or banking technology enhancements</li></ul></div><h1 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:19px;font-family:\"Arial\",sans-serif;'>&nbsp;<br><span style=\"color:#1F4E79;\">QUALIFICATIONS</span></h1><h2 style='margin-top:9.85pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Education &amp;&nbsp;Experience</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Bachelor&rsquo;s degree in Finance, Accounting, or a related field required</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Minimum 5 years of progressive experience in treasury, cash management, or accounting</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Experience managing high-volume, multi-entity cash environments strongly preferred</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Hospitality, real estate, or multi-site operations experience a plus</li></ul></div><p style='margin-top:2.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.75in;font-size:15px;font-family:\"Arial\",sans-serif;margin:0in;'><br></p><p style='margin-top:.35pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><h2 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Certifications</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Certified Treasury Professional (CTP) strongly preferred</li></ul></div><p style='margin-top:2.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.75in;font-size:15px;font-family:\"Arial\",sans-serif;margin:0in;'><br></p><p style='margin-top:.35pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><h2 style='margin-top:0in;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Technical Skills</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Advanced proficiency in Microsoft Excel required (pivot tables, VLOOKUP, financial modeling)</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Experience with Bank of America CashPro platform preferred</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Familiarity with ERP/accounting systems (e.g., Sage, Oracle, or similar)</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Working knowledge of NACHA file formats and ACH transmission protocols (SFTP, HTTPS)</li></ul></div><p><span style='font-size:15px;font-family:\"Arial\",sans-serif;'>&nbsp;&nbsp;</span></p><h2 style='margin-top:3.9pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:16px;font-family:\"Arial\",sans-serif;'><span style=\"color:#2D74B5;\">Core Competencies</span></h2><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;margin-left: 43.95px;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Exceptional attention to detail and commitment to accuracy</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Strong analytical and problem-solving skills</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Excellent verbal and written communication skills; ability to present financial information clearly to non-finance stakeholders</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">High degree of discretion and integrity in handling sensitive financial information</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Ability to manage competing priorities and meet deadlines in a fast-paced, multi-entity environment</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Collaborative mindset with the ability to work effectively across ownership groups and internal departments</li></ul></div><h1 style='margin-top:.05pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.25in;font-size:19px;font-family:\"Arial\",sans-serif;'>&nbsp;&nbsp;<br><span style=\"color:#1F4E79;\">COMPENSATION &amp; BENEFITS</span></h1><p style='margin-top:5.85pt;margin-right:18.6pt;margin-bottom:.0001pt;margin-left:.25in;font-size:15px;font-family:\"Arial\",sans-serif;'>Century Golf Partners offers a competitive compensation package commensurate with experience, including:</p><div style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;'><ul style=\"margin-bottom:0in;margin-left: 43.95px;\"><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Competitive base salary (range to be confirmed based on experience)</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Annual performance bonus eligibility</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Comprehensive health, dental, and vision insurance</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">401(k) with company match</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Paid time off and company holidays</li><li style=\"margin:0in;margin-bottom:.0001pt;font-size:15px;font-family: initial;\">Golf privileges at Century Golf managed courses</li></ul></div><p style='margin-top:2.0pt;margin-right:0in;margin-bottom:.0001pt;margin-left:.75in;font-size:15px;font-family:\"Arial\",sans-serif;margin:0in;'><br></p><p style='margin-top:2.3pt;margin-right:0in;margin-bottom:.0001pt;margin-left:0in;font-size:15px;font-family:\"Arial\",sans-serif;'><br></p><p style='margin:0in;margin-bottom:.0001pt;font-size:15px;font-family:\"Arial\",sans-serif;margin-top:0in;margin-right:28.7pt;margin-left:.25in;'><em><span style=\"font-size:12px;color:#585858;\">THE DESCRIPTION MAY NOT BE ALL-INCLUSIVE AND EMPLOYEES ARE EXPECTED TO PERFORM ALL OTHER DUTIES AS ASSIGNED AND DIRECTED BY MANAGEMENT. POSITION DESCRIPTIONS AND DUTIES MAY BE MODIFIED WHENEVER DEEMED APPROPRIATE BY MANAGEMENT.</span></em></p>\n",
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