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The Treasury Analyst supports daily cash management, banking operations, debt administration, payment processing, treasury reporting, and audit activities. This role works closely with the Treasury Manager to ensure accurate cash positioning, maintain banking relationships, support compliance activities, and identify opportunities for process improvement. As with all positions at KeHE Distributors, we expect that all actions will be consistent with KeHE's Mission, Vision, and Values.
Job Responsibility
Prepare daily cash positioning and cash reporting
Monitor bank account activity and investigate variances
Complete daily bank statement reconciliations in Workday and resolve outstanding reconciling items
Support short-term cash forecasting and liquidity planning through analysis of cash inflows, outflows, and working capital trends
Request and process daily revolving credit facility borrowings as needed to support liquidity requirements
Process ACH and wire payments in accordance with treasury policies and approval requirements
Verify payment requests and supporting documentation
Monitor payment activity and investigate exceptions or rejected transactions
Support fraud prevention and payment security controls
Coordinate requests from internal business partners, banks, and external vendors
Maintain bank account documentation and records
Assist with bank account openings, closings, and maintenance requests
Support user access administration for banking platforms
Assist in maintaining relationships with banking partners and support treasury-related inquiries
Maintain treasury reporting files and compliance documentation
Assist with revolving credit facility reporting and documentation
Prepare supporting schedules for borrowing base calculations
Manage Treasury shared mailboxes, ensuring timely response and resolution of requests
Provide back-up support for treasury functions as needed
Support the annual bank audit process by gathering documentation, preparing schedules, and coordinating auditor requests
Assist with internal and external auditor requests
Follow treasury policies and internal controls
Maintain treasury procedures and process documentation
Participate in treasury projects and system enhancements
Support banking platform implementations and upgrades
Identify opportunities to improve treasury processes, enhance controls, and increase operational efficiency
Assist with testing and validation of treasury-related system changes
Requirements
Bachelor's degree in Finance, Accounting, Business Administration, or related field
At least 2–4 years of experience in finance, accounting, banking, treasury, or a related business function
Experience with cash management, treasury operations, or banking activities
Experience processing ACH and wire payments
Experience with ERP systems such as Workday, SAP, Oracle, or JDE
Familiarity with bank portals or treasury management systems
Experience supporting process improvement initiatives or system implementations
What we offer
Health/Rx
Dental
Vision
Flexible and health spending accounts (FSA/HSA)
Supplemental life insurance
401(k)
Paid time off
Paid sick time
Short term & long term disability coverage (STD/LTD)