AVP Corporate Treasury - Cash Management
exvu
| Company | exvu |
| Category | Finance |
| Location | Fort Worth, TX, United States |
| Remote | — |
| Employment | Not stated |
| Level | Not stated |
| Salary | Not stated by the employer |
| Posted | 6 Jul 2026 |
| Last verified | 9 Aug 2026 |
| Source | Employer ATS (oracle) |
Description
The AVP Corporate Treasury is responsible for overseeing the day to day activities required to meet the financial obligations of the organization within the Corporate Treasury department. This will also include forecasting and reporting on GM Financial's cash needs. This team member ensures the integrity of GM Financial's bank accounts and cash flows. This team member also participates in the strategic and operational decision making process.