Lazer Logistics is the industry leader in third-party yard management services. Spotting and local shuttles are our core business, not an auxiliary function. For our customers, a choice to work with Lazer Logistics means you get our full attention, our years of experience, and our commitment to customer satisfaction. You will not find another company that works harder or understands better how to make your facility function more efficiently.
For our employees, a choice to work at Lazer Logistics means you joined an organization that lives by a set of shared values that guide our actions and behaviors:
Driven to achieve
We keep each other safe
Our leaders serve and develop our people.
Resilient to our core
If you are here, you are family.
Summary
The Treasury Manager oversees the organization's treasury operations, ensuring effective cash management, liquidity optimization, and financial risk mitigation. This high-visibility role requires cross-functional collaboration with finance, accounting, and executive leadership to maintain strong banking relationships, develop investment strategies, and ensure regulatory compliance.
Job Description
Monitor and manage daily cash flow to ensure adequate liquidity for operational needs.
Develop and implement cash flow forecasting models to predict short- and long-term funding requirements.
Maintain strong relationships with banks and financial institutions, negotiating services and fees.
Oversee the opening, closing, and administration of global bank accounts, ensuring appropriate signatories and controls are in place.
Assess and manage financial risks, including foreign exchange and interest rate exposures.
Manage corporate debt facilities, ensuring compliance with loan covenants.
Develop, implement, and maintain treasury policies, procedures, and internal controls.
Lead the treasury month-end close process, ensuring accurate recording of cash activity in the general ledger.
Mentor and develop treasury staff, fostering a high-performance team environment.
Develop and execute investment strategies to optimize returns on excess cash while ensuring liquidity and security.
Lead the planning and execution of investment and borrowing strategies.
Ensure proper controls exist over cash receipts, disbursements, and general treasury activities.
Works cross-functionally to drive execution of specific divisional and company strategies, initiatives, and projects.
Coach, mentor, and develop employees while growing the team.
Be a leader by example and live our overall purpose and core values. Foster communication, collaboration, diversity, inclusion, innovation, and a productive team environment.
Maintain up to date awareness of industry regulations and market trends to ensure compliance requirements and competitive presence/advantage.
Pay Range: - , General Benefits:
Qualifications And Experience
Bachelor's degree in Finance, Accounting, Business Administration, or a related field; MBA or advanced degree preferred.
Minimum of 5-7 years of experience in treasury or financial management roles.
Demonstrated experience in cash management, financial risk management, and investment strategies.
Certified Treasury Professional (CTP) or Certified Public Accountant (CPA) designation preferred.
Strong analytical and financial analysis skills.
Excellent verbal and written communication abilities.
Proficiency in Microsoft Excel, treasury management systems, and digital banking platforms.
Knowledge of Generally Accepted Accounting Principles (GAAP) and financial regulations.
Strong organizational skills and attention to detail.
Ability to work effectively under pressure and manage multiple priorities.
Develops the capacity of individuals and teams through effective employee development, involvement, communication, and supervision efforts.
Excellent verbal and written communication skills
Strong code of ethics and integrity
\nThis offer from \"Lazer Logistics\" has been enriched by Jobgether.com and got a 2% flex score.","identifier":{"@type":"PropertyValue","name":"Lazer Logistics","value":"683705de3560adcc6f8bb3b9"},"hiringOrganization":{"@type":"Organization","name":"Lazer Logistics","sameAs":"http://www.lazerlogistics.com","logo":"https://cdn-s3.jobgether.com/lazerlogistics%2Fprofile.webp"},"datePosted":"2025-06-03T10:34:34.464Z","employmentType":["FULL_TIME"],"applicantLocationRequirements":[{"@type":"Country","name":"US"}],"jobLocation":[{"@type":"Place","address":{"@type":"PostalAddress","addressLocality":"Alpharetta","addressCountry":"US"}}],"validThrough":"2026-05-29T10:39:09.397Z"}
Help us maintain the quality of our job listings. If you find any issues with this job post, please let us know.
Select the reason you're reporting this job:
Lazer Logistics began as a family business in 1996 as Lazer Spot. 29 years later; we expanded our services to fill critical gaps that optimize throughput at transition points across supply chain operations, bringing visibility, efficiencies, and unification to underserved areas.
We now operate from coast to coast with the same tenacity and care for our people and clients. We have grown to become the largest provider of outsourced yard logistics at 700+ locations in the U.S. and Canada. In 2025, we achieved a sustainability milestone through our industry-leading EV Spotter Program, surpassing 2 million zero-emission miles and moves.
•Yard Spotting/Shunting
•Shuttling services
•Trailer Rentals/Leases for cartage, storage
•EV Fleet
•Intermodal/Drayage
•Welcome Gate Management and Technology
•Yard Management Software (YMS)
Key Customer Benefits:
Lazer provides customized solutions so our clients can concentrate on their core business.
Scale & Flexibility – With over 5,800 employees servicing 700+ locations, we have the density of services and geography to meet our clients’ needs.
Fleet Management & EVs – Lazer has 10,000+ assets and the largest fleet of outsourced EV spotters. We help clients achieve their sustainability goals by buying, operating, and maintaining all EV equipment and managing grant programs.
Efficiency & Visibility – Lazer saves fuel and money with a 16% idle time vs. 52% industry average. Our analysts monitor accounts and provide real-time visibility into KPIs, uptime, and billing accuracy.
Technology – Our YMS system, NexusYMS offers customers a choice of functionality. We also use several safety platforms and gate technology systems to maximize throughput.
Enhanced Safety – Our driver onboarding is tailored to enhance work experiences that bolster higher productivity and lower driver churn.
Culture Values – Our employee ownership, diverse executive leadership team & EV program highlight our commitment to values and sustainability.
Lazer Logistics is the industry leader in third-party yard management services. Spotting and local shuttles are our core business, not an auxiliary function. For our customers, a choice to work with Lazer Logistics means you get our full attention, our years of experience, and our commitment to customer satisfaction. You will not find another company that works harder or understands better how to make your facility function more efficiently.
For our employees, a choice to work at Lazer Logistics means you joined an organization that lives by a set of shared values that guide our actions and behaviors:
Driven to achieve
We keep each other safe
Our leaders serve and develop our people.
Resilient to our core
If you are here, you are family.
Summary
The Treasury Manager oversees the organization's treasury operations, ensuring effective cash management, liquidity optimization, and financial risk mitigation. This high-visibility role requires cross-functional collaboration with finance, accounting, and executive leadership to maintain strong banking relationships, develop investment strategies, and ensure regulatory compliance.
Job Description
Monitor and manage daily cash flow to ensure adequate liquidity for operational needs.
Develop and implement cash flow forecasting models to predict short- and long-term funding requirements.
Maintain strong relationships with banks and financial institutions, negotiating services and fees.
Oversee the opening, closing, and administration of global bank accounts, ensuring appropriate signatories and controls are in place.
Assess and manage financial risks, including foreign exchange and interest rate exposures.
Manage corporate debt facilities, ensuring compliance with loan covenants.
Develop, implement, and maintain treasury policies, procedures, and internal controls.
Lead the treasury month-end close process, ensuring accurate recording of cash activity in the general ledger.
Mentor and develop treasury staff, fostering a high-performance team environment.
Develop and execute investment strategies to optimize returns on excess cash while ensuring liquidity and security.
Lead the planning and execution of investment and borrowing strategies.
Ensure proper controls exist over cash receipts, disbursements, and general treasury activities.
Works cross-functionally to drive execution of specific divisional and company strategies, initiatives, and projects.
Coach, mentor, and develop employees while growing the team.
Be a leader by example and live our overall purpose and core values. Foster communication, collaboration, diversity, inclusion, innovation, and a productive team environment.
Maintain up to date awareness of industry regulations and market trends to ensure compliance requirements and competitive presence/advantage.
Pay Range: - , General Benefits:
Qualifications And Experience
Bachelor's degree in Finance, Accounting, Business Administration, or a related field; MBA or advanced degree preferred.
Minimum of 5-7 years of experience in treasury or financial management roles.
Demonstrated experience in cash management, financial risk management, and investment strategies.
Certified Treasury Professional (CTP) or Certified Public Accountant (CPA) designation preferred.
Strong analytical and financial analysis skills.
Excellent verbal and written communication abilities.
Proficiency in Microsoft Excel, treasury management systems, and digital banking platforms.
Knowledge of Generally Accepted Accounting Principles (GAAP) and financial regulations.
Strong organizational skills and attention to detail.
Ability to work effectively under pressure and manage multiple priorities.
Develops the capacity of individuals and teams through effective employee development, involvement, communication, and supervision efforts.