/ Cash/Treasury Management Manager

Responsible for the cash management activities of the bank/credit union, including sales development, retention of current accounts, and servicing client needs. Supervises a staff of Cash Management Officers and staff who provide service and support to business banking client companies. Monitors market condition/trends so the institution will remain competitive in the local market; ensure products, agreements, and collateral is kept up to date, compliant and accurate.



Updated: 2.26.19