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Manager Treasury

Abbott

Abbott

Accounting & Finance
Abbott Park Rd, Green Oaks, IL, USA
USD 97,300-194,700 / year
Posted on Jun 11, 2025

Abbott is a global healthcare leader that helps people live more fully at all stages of life. Our portfolio of life-changing technologies spans the spectrum of healthcare, with leading businesses and products in diagnostics, medical devices, nutritionals and branded generic medicines. Our 114,000 colleagues serve people in more than 160 countries.

About Abbott:

Abbott is a global healthcare leader, creating breakthrough science to improve people’s health. We’re always looking towards the future, anticipating changes in medical science and technology.

Working at Abbott:

At Abbott, you can do work that matters, grow, and learn, care for yourself and family, be your true self and live a full life. You will have access to:

Career development with a global company where you can grow the career of your dreams.

Free medical coverage for employees* via the Health Investment Plan (HIP) PPO.

An excellent retirement savings plan with high employer contribution.

Tuition reimbursement, the Freedom 2 Save student debt program and FreeU education benefit; our affordable and convenient path to getting a bachelor’s degree.

A company named one of the most admired companies in the world by Fortune Magazine and recognized as a great place to work in dozens of countries around the world.

A company recognized as one of the best big companies to work for, as well as a best place to work for diversity, working mothers, female executives, and scientists.

The Opportunity

Based in our corporate headquarters in Abbott Park, IL we have an opportunity for a Treasury Manager within our Global Treasury Operations team. This position reports to the Senior Director, Corporate Treasury and is a great opportunity for a detail oriented Treasury professional with strong treasury skills. Position is part of a 3-year Treasury Manager Development program encompassing 3 Treasury Manager roles.

What You Will Work On:

Daily cash management for in-house bank including funding of intercompany loan program transactions and third-party investment management

Support short and long term cash forecasting and rolling LBE process to ensure proper financial liquidity including interest rate forecasting and risk analysis

Manage bank fee budget forecasting, rolling LBE process and actuals reporting. Develop and execute bank fee reduction strategies.

Evaluate and recommend investment options and financial instruments that will meet the organization’s treasury objectives in compliance with Corporate Financial Policy.

Establish and maintain positive, ongoing relationships with the external financial partners

Month-end close and reporting activities for in-house bank entity

Provide backup support to US Cash Manager

Manage Share Repurchase Program and execution per management direction and approval

Timely completion of month-end reporting for Shareholder Services activities

Manage corporate dividend payment process and timely execution of dividend funding

Closely work with Benefits and Executive Compensation on managing financial incentive programs

Maintain close working relationship with Investor Relations and Talent Acquisition Groups

Identify and co-ordinate operational improvements

Lead bank account automation projects as required

Facilitate Treasury activities, including payment processing

Perform daily cash reconciliations

Manage confirmation and settlement of FX transactions

Maintain bank account controls and documentation

Lead business compliance with Treasury Financial Policies

Manage and coordinate netting process activities

Assist with Sarbanes-Oxley and Audit activities

Assist management with acquisition, integration and divestiture special projects

Serve as a liaison between Treasury, IT and numerous business organizations

Provide ad-hoc support to all groups for Treasury related activities

Manage SWIFT global implementation

Maintain robust business process procedures

Manage direct reports

Required Qualifications:

Bachelor’s degree in accounting, business, or finance required. MBA or advanced degree in business, finance or management preferred

Experience in Corporate Treasury, Corporate Accounting, Corporate Finance or Commercial/Investment Banking (7 – 10 years)

Effectively manage complex projects from start to finish (organized and detail-oriented)

Collaborate well in a team environment (interpersonal skills)

Experience with MS Office, SAP Treasury, and TMS strongly preferred.



The base pay for this position is $97,300.00 – $194,700.00. In specific locations, the pay range may vary from the range posted.