Cornerstone Building Brands is seeking a Treasury Manager to lead day-to-day cash management, forecasting, and treasury controls across multiple entities. This hands-on role reports to the SVP – Corporate Finance, Investor Relations & Treasury, with visibility to the CFO on liquidity and cash reporting.
You will manage two direct reports, coordinate with the Concur expense team, and drive automation of cash-management workflows while maintaining accuracy and strong controls in a complex,
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