Description
Join the City of Saint Paul as our next Treasury Manager in the Financial Services Department!
Responsibilities
Performs highly responsible work involving Treasury unit investments, cash management, and debt administration for City of Saint Paul, Housing and
Redevelopment Authority (HRA), the Saint Paul Regional Water Services and the River Centre.
Develops and implements strategies to safely and securely maximize investment earnings, debt administration, and public finance alternatives.
Provides leadership and direction to staff responsible for treasury financial reports, budgets, assessments, information maintenance, and transaction activities involving investments, derivatives, cash flow, debt, tax revenue, and bond management.
Supervises the receipt, disbursement, banking, and protection of all monies and securities received by the City and its agencies listed above.
Represents the Office of Financial Services for activities involving City agencies, bank and investment planning, and interactions with credit rating analysts and finance specialists.
Qualifications
A Bachelor's Degree in Accounting, Finance, Business Administration, Public Administration, or a related field. And five years of responsible administrative experience in corporate or public finance, including at least two years of experience in the management of both investment and debt service programs. No substitution for education.
City of Saint Paul
Saint Paul, Minnesota, Minnesota 55102
US
