Home › Companies › Jobs Middlesexsavings Icims Com › Treasury Operations Specialist
Treasury Operations Specialist
Jobs Middlesexsavings Icims Com · Westborough, MA, US · Remote · Active · $45,122–$74,451 / day · iCIMS
Job facts
| Field | Value |
|---|---|
| Company | Jobs Middlesexsavings Icims Com |
| Title | Treasury Operations Specialist |
| Normalized title | - |
| Department / team | Operations - Payment Operations |
| Location | Westborough, MA, United States |
| Work model | Remote / Remote |
| Employment type | Full Time |
| Salary | $45,122–$74,451 / day |
| Status | active |
| ATS provider | iCIMS |
| Posted / first seen | 2024-06-06 / 2026-05-31 |
| Changed / last seen | 2026-06-06 / 2026-06-06 |
Related slices
| Page | What it contains | Open |
|---|---|---|
| Company jobs | Active postings from Jobs Middlesexsavings Icims Com. | Open |
| Company breakdowns | Role, location, ATS, and work model facets for this company. | Open |
| ATS provider jobs | Active postings observed through iCIMS. | Open |
| Provider filtered search | The same provider as a filtered job collection. | Open |
| City jobs | Active postings in Westborough. | Open |
| Department jobs | Active postings in Operations - Payment Operations. | Open |
| Work model jobs | Active Remote postings. | Open |
| Lifecycle events | Open, update, close, and reopen events for this posting. | Open |
| Original posting | Canonical source or apply URL captured from the ATS. | Open |
Linked records
| Company | Jobs Middlesexsavings Icims Com |
| Source | d09bf556-c415-456d-aea2-f0bdc15e7344 |
| ATS provider | iCIMS |
Description
Overview The Treasury Operations Specialist provides operational support for cash management products and services within Payment Operations. This role serves as a centralized, end-to-end resource for cash management operations - handling all aspects of setup, configuration, validation, maintenance, and review across the full lifecycle of cash management services. Responsibilities include system configuration, account analysis, and periodic assessments, with a focus on accuracy, efficiency, and strong internal controls. The position partners closely with internal teams to ensure operational accuracy, strong controls, and efficient delivery of services.
Responsibilities
Client Setup, System Configuration & Testing
Execute cash management service implementations based on approved internal documentation
Configure and validate systems for services including online banking (OLB), ACH, wires, remote deposit capture (RDC), Positive Pay, REPO, bill pay, Corporate Draw Down Agreements, EDI, and other cash management services as needed.
Ensure all setups align with internal approvals, documentation, and product parameters
Operational Support & Issue Resolution
Provide operational support, including setup, processing, posting, and issue resolution
Complete daily processing tasks as assigned
Be a subject-matter-expert (SME) for all products/services within the Cash Management realm
Partner with Cash Management Sales Support and internal teams to resolve errors, exception items, and cash management related issues
Research and escalate operational issues as appropriate, ensuring timely resolution
Maintain and update procedures; identify and recommend process improvements to enhance efficiency and reduce risk
Collaborate with management and business partners to monitor and track vendor issues as necessary
Account Billing, Monitoring & Maintenance
Execute and maintain account analysis setups, including service codes, pricing, and earnings credit rates
Support billing processes, including external vendor billing integration, research and resolution of discrepancies
Conduct annual reviews of select cash management services, including service utilization, and system entitlements
Perform RDC and ACH limit monitoring and annual assessments
Annual WITS re-documentation & annual purge
Facilitate annual notice requirements for select services such as ACH and Repo
Team Support
Support the development and cross-training of operations staff on cash management-related functions
Serve as a backup for Payment Operations staff for select products/processes
Assist with GL reconciliation, monthly reporting, user system access reviews, etc.
Operational Insight & Reporting
Review large dollar charges and correct if needed
Provide operational insight to leadership regarding capacity, workflow constraints, and risk exposure
Quarterly ACH Reporting, including ACH Summary and Monthly Dashboard
Update wire metrics to dashboards
Track and report key operational metrics, including volumes, exceptions, and error rates
Identify trends and recommend improvements to processes, controls, or system utilization
Risk Management, Compliance & Audit Support
Execute compliance-related checks, including OFAC screening, ACH and wire controls, and other required validations
Adhere to internal controls, security protocols, and segregation of duties
Support internal and external audits and examinations by providing documentation and responding to requests
Requirements
Education
High School Diploma is required
Some college is preferred
Work Experience
3+ years experience, preferably in cash management, deposit operations, or digital banking is required
Additional Requirements
Solid understanding of cash management products (ACH, wires, RDC, Positive Pay, online banking) preferred.
Ability to manage multiple priorities in a deadline-driven environment.
Must be self-motivated and work well in a team. Ability to be successful in a fast-paced environment, have appropriate sense of urgency, and commitment to provide high level of customer service.
Must possess effective oral and written communication, highly organized with strong attention to detail, and sound analytical and problem-solving skills.
Must possess at least intermediate technology skills, including knowledge of MS Office. Proficiency with navigating multiple monitors, browser sessions, and applications simultaneously.
This position is eligible for hybrid remote work.
Must be able to work flexible hours on a rotating schedule.
Expected Pay Range The expected annual pay range for this role is $45,122 to $74,451. The pay range is the salary we in good faith expect to pay for this role at the time of posting. Actual compensation paid may fluctuate higher or lower than the posted range and the range may be modified in the future due to several factors including, but not limited to, relevant experience, certifications, and qualifications, internal equity, adjustments to the requirements and responsibilities of the job, business needs, and economic and market data.
EEO Statement Middlesex Savings Bank is an Equal Opportunity Employer/protected Veterans/Individuals with Disabilities
Full job record
| Job ID | 2e66415f1aabf396b17b0647534e200d5c869d6c |
| Org ID | 9a531840-92c7-4e03-8e5f-202f0ec7126e |
| Source ID | d09bf556-c415-456d-aea2-f0bdc15e7344 |
| Board ID | d09bf556-c415-456d-aea2-f0bdc15e7344 |
| Provider | icims |
| Provider Job Key | 5716 |
| Title | Treasury Operations Specialist |
| Normalized Title | — |
| Status | active |
| Active | yes |
| Location Text | Westborough, MA, US |
| Department | Operations - Payment Operations |
| Team | — |
| Employment Type | full_time |
| Workplace Type | remote |
| Remote Policy | remote |
| Country | United States |
| Region | MA |
| City | Westborough |
| Salary Raw | Overview The Treasury Operations Specialist provides operational support for cash management products and services within Payment Operations. This role serves as a centralized, end-to-end resource for cash management operations - handling all aspects of setup, configuration, validation, maintenance, and review across the full lifecycle of cash management services. Responsibilities include system configuration, account analysis, and periodic assessments, with a focus on accuracy, efficiency, and strong internal controls. The position partners closely with internal teams to ensure operational accuracy, strong controls, and efficient delivery of services. Responsibilities Client Setup, System Configuration & Testing Execute cash management service implementations based on approved internal documentation Configure and validate systems for services including online banking (OLB), ACH, wires, remote deposit capture (RDC), Positive Pay, REPO, bill pay, Corporate Draw Down Agreements, EDI, and other cash management services as needed. Ensure all setups align with internal approvals, documentation, and product parameters Operational Support & Issue Resolution Provide operational support, including setup, processing, posting, and issue resolution Complete daily processing tasks as assigned Be a subject-matter-expert (SME) for all products/services within the Cash Management realm Partner with Cash Management Sales Support and internal teams to resolve errors, exception items, and cash management related issues Research and escalate operational issues as appropriate, ensuring timely resolution Maintain and update procedures; identify and recommend process improvements to enhance efficiency and reduce risk Collaborate with management and business partners to monitor and track vendor issues as necessary Account Billing, Monitoring & Maintenance Execute and maintain account analysis setups, including service codes, pricing, and earnings credit rates Support billing processes, including external vendor billing integration, research and resolution of discrepancies Conduct annual reviews of select cash management services, including service utilization, and system entitlements Perform RDC and ACH limit monitoring and annual assessments Annual WITS re-documentation & annual purge Facilitate annual notice requirements for select services such as ACH and Repo Team Support Support the development and cross-training of operations staff on cash management-related functions Serve as a backup for Payment Operations staff for select products/processes Assist with GL reconciliation, monthly reporting, user system access reviews, etc. Operational Insight & Reporting Review large dollar charges and correct if needed Provide operational insight to leadership regarding capacity, workflow constraints, and risk exposure Quarterly ACH Reporting, including ACH Summary and Monthly Dashboard Update wire metrics to dashboards Track and report key operational metrics, including volumes, exceptions, and error rates Identify trends and recommend improvements to processes, controls, or system utilization Risk Management, Compliance & Audit Support Execute compliance-related checks, including OFAC screening, ACH and wire controls, and other required validations Adhere to internal controls, security protocols, and segregation of duties Support internal and external audits and examinations by providing documentation and responding to requests Requirements Education High School Diploma is required Some college is preferred Work Experience 3+ years experience, preferably in cash management, deposit operations, or digital banking is required Additional Requirements Solid understanding of cash management products (ACH, wires, RDC, Positive Pay, online banking) preferred. Ability to manage multiple priorities in a deadline-driven environment. Must be self-motivated and work well in a team. Ability to be successful in a fast-paced environment, have appropriate sense of urgency, and commitment to provide high level of customer service. Must possess effective oral and written communication, highly organized with strong attention to detail, and sound analytical and problem-solving skills. Must possess at least intermediate technology skills, including knowledge of MS Office. Proficiency with navigating multiple monitors, browser sessions, and applications simultaneously. This position is eligible for hybrid remote work. Must be able to work flexible hours on a rotating schedule. Expected Pay Range The expected annual pay range for this role is $45,122 to $74,451. The pay range is the salary we in good faith expect to pay for this role at the time of posting. Actual compensation paid may fluctuate higher or lower than the posted range and the range may be modified in the future due to several factors including, but not limited to, relevant experience, certifications, and qualifications, internal equity, adjustments to the requirements and responsibilities of the job, business needs, and economic and market data. EEO Statement Middlesex Savings Bank is an Equal Opportunity Employer/protected Veterans/Individuals with Disabilities |
| Salary Min | 45,122 |
| Salary Max | 74,451 |
| Salary Currency | USD |
| Salary Period | day |
| Source URL | https://jobs-middlesexsavings.icims.com/jobs/5716/treasury-operations-specialist/job |
| Apply URL | https://jobs-middlesexsavings.icims.com/jobs/5716/treasury-operations-specialist/job |
| First Seen At | 2026-05-31 18:47:15Z |
| Last Seen At | 2026-06-06 08:35:30Z |
| Last Checked At | 2026-06-06 08:35:30Z |
| Last Changed At | 2026-06-06 08:35:30Z |
| Inactive At | — |
| Source Posted At | 2024-06-06 08:35:30Z |
| Source Updated At | 2026-05-12 15:51:33Z |
| Raw Payload Uri | s3://job-postings-prod-raw-590183727216/raw/provider=icims/board=jobs-middlesexsavings.icims.com/date=2026-06-06/2026-06-06T08-35-29-320Z-d41aade4becc71ddbff1d6c1986dccd70343c6c25455bb459499fd4b96ff6385.json |
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"description": "<h2>Overview</h2>The Treasury Operations Specialist provides operational support for cash management products and services within Payment Operations. This role serves as a centralized, end-to-end resource for cash management operations - handling all aspects of setup, configuration, validation, maintenance, and review across the full lifecycle of cash management services. Responsibilities include system configuration, account analysis, and periodic assessments, with a focus on accuracy, efficiency, and strong internal controls. 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