City of Portland CLASS SPECIFICATION Treasury Operations Manager
City of Portland CLASS SPECIFICATION Treasury Operations Manager
City of Portland CLASS SPECIFICATION Treasury Operations Manager
CLASS SPECIFICATION
Treasury Operations Manager
GENERAL PURPOSE
Under general direction, manages and directs the activities of staff engaged in City treasury operations;
manages City banking relationships; assists the City Treasurer in administering and reporting on
investment activities; and performs related duties as assigned.
DISTINGUISHING CHARACTERISTICS
This single incumbent class is responsible for the day-to-day management of treasury operations to ensure
the maintenance of sound internal controls over the City’s cash and securities assets and the timely and
accurate recording of all cash receipt and disbursement transactions. The incumbent performs cash
management analyses, advises the City Treasurer on funds available for investment and manages the
City’s banking relationships. The incumbent performs highly detailed and complex duties in ensuring the
accuracy and integrity of the City’s current financial data.
Treasury Operations Manager is distinguished from other management positions in the finance and
accounting job family by the incumbent’s specialization in treasury operations.
1. Plans, organizes, controls, integrates and evaluates the work of the assigned staff; with subordinate
supervisors, develops, implements and monitors work plans to achieve bureau mission, goals and
performance measures; directs the development of and monitors performance against the biennial
group budget; manages and directs the development, implementation and evaluation of work
programs, plans, processes, systems and procedures to achieve City and bureau goals, objectives and
performance measures consistent with the City’s quality and citizen service expectations.
2. Plans, organizes, directs and evaluates the performance of assigned supervisors and staff; establishes
performance requirements and personal development targets; regularly monitors performance and
provides coaching for performance improvement and development; provides compensation and other
rewards to recognize performance; takes disciplinary action, up to and including termination, to
address performance deficiencies, in accordance with City Charter, Code, human resources policies
and labor contract agreements.
4. Manages the day-to-day operations of the City’s treasury functions; establishes and maintains sound
internal controls over all cash and securities; oversees the recording and balancing of treasury receipts
and disbursements; ensures transactions are audited for accuracy and properly documented prior to
processing; oversees and confers with outside auditors on year end closing and reviews schedules for
accuracy and completeness.
5. Performs daily cash management analyses; determines cash available for investment; plans for large
cash disbursements; ensures accurate preparation of cash investment reports for the City Treasurer,
City Council and Investment Advisory Committee; analyzes data to ensure requirements for the
City’s tax exempt bonds are met; transmits data into the City’s Debt Management Program for use in
calculating federal tax rates.
6. Manages the City’s ongoing relationships with banking institutions; works with banks to resolve
transaction errors and problems and ensure accurate cash balancing.
7. Oversees daily and monthly reconciliation of the City’s master pooled and subsidiary investment
portfolios, banking accounts and trustee system accounts; oversees the allocation and distribution of
earned interest to all City funds; oversees and ensures the resolution of questions and issues regarding
trustee accounts.
8. Evaluates treasury operations, procedures and practices and implements changes to procedure and
practice for operation effectiveness.
9. Assists the City Treasurer in developing and revising treasury policies and procedures; analyzes law
and regulations impacting the City’s bonded debt and consults with the Debt Manager.
10. Advises bureau and agency staff on treasury and banking issues.
OTHER DUTIES
1. Designs and develops spreadsheet and database systems for use by bureau staff and management.
Knowledge of:
1. Principles and practices of general, enterprise and governmental accounting, including the
principles and practices of internal control.
2. State and federal laws and regulations relating to the financial administration of public agencies,
including treatment of tax-exempt bonded indebtedness and investments permitted under the
Oregon Revised Statutes.
5. Research methods and statistical and financial analysis and modeling techniques.
6. City functions and programs and associated cash management and financial reporting issues.
7. Principles and practices of business data processing particularly related to the processing of
accounting and financial information.
9. Principles and policies of the City’s Debt Management and Trustee programs.
Ability to:
1. Plan, direct and supervise the work of staff engaged in performing the full range of treasury
operations, including management of the City’s banking relationships.
2. Organize, set priorities and exercise sound expert independent judgment within areas of
responsibility.
3. Define issues, analyze problems, evaluate alternatives and develop sound, independent
conclusions and recommendations in accordance with laws, regulations, rules and policies.
4. Perform complex cash management analyses to forecast funds available for investment, while
anticipating large cash disbursement needs for City and bureau programs and functions.
6. Perform complex mathematical calculations and analyses and prepare clear, concise and
comprehensive financial and treasury statements, reports and written materials.
8. Understand, interpret, explain and apply City codes and ordinances applicable to the City’s
treasury operations and investment accounting activities.
10. Exercise tact and diplomacy in dealing with sensitive, complex and confidential issues and
situations.
11. Establish and maintain effective working relationships with all levels of City management,
bureau managers, bank officials and others encountered in the course of work.
Class History:
Adopted: 07-01-02
Revised:
Class created as a result of Nonrepresented Classification & Compensation Study, 2000-2002. This class
is composed of positions from the following class(es):
0970 PROGRAM MANAGER II. Adopted: 07-01-92