Our client has an immediate need for a Treasury Manager on a contract to hire basis. Supporting the Business Treasury Unit, the Treasury Manager is responsible for overseeing the handling of day to day accounting processes and financial information in order for the team to achieve its objectives. This role will support management on strategic and tactical special projects. Handling highly complex financial transactions or general accounting functions or complex statutory/regulatory reporting. This role is responsible for preparation and review of financial reports and review of related reconciliations. Acts as a mentor to less experienced associates. Demonstrates a positive approach to finding solutions and toward changes in the business environment. Presents and consults effectively to senior level audiences. Manages complex and ambiguous assignments effectively. Applies strong business knowledge and technical expertise to develop and recommend solutions to complex problems. Presents and consults effectively to senior level audiences. Supports management on strategic and tactical special projects. BS Accounting/Finance degree and 5+ Years of Financial Services Related Experience or 10+ years of financial services. CPA preferred. Investment company accounting and/or SEC reporting experience. Strong Excel and PC skills. Advanced knowledge of accounting principles and practices. Strong analytical skills. Strong interpersonal, communication and organization skills. Knowledge and exposure to the mutual fund business is a must have for this position.