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Treasury Analyst - Cash Management

https://www.roberthalf.com Logo

Robert Half

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Location:
United States , Chicago

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Category:

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Contract Type:
Not provided

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Salary:

85000.00 - 86000.00 USD / Year

Job Responsibility:

  • Coordinate Treasury data retrieval
  • Retrieve and process electronic bank statements and coordinate information flow into SAP
  • Resolve issues related to obtaining electronic banking information
  • Ensure that inflows and outflows have proper G/L coding
  • Payment processing
  • Run daily payment programs, process wires that need to be uploaded into bank websites, process Federal/State/Canadian tax payments, process ACH drawdowns, and troubleshoot any payment-related problems
  • Various banking-related activities
  • Online banking user maintenance, signatory updates, process remote check deposits, handle auditor information requests, and maintain a list of all bank accounts
  • Assist with month-end activities, such as interest accrual reports, letter of credit reporting, and distribution of various reports
  • Verification of interest payment calculations with third parties
  • International activities
  • Review and initiate/approve international payments, work with the Cash Manager to place international investments, and assist with intercompany transactions

Requirements:

  • Bachelors degree required
  • 2-5 years of Treasury or Accounting experience preferred
  • Banking System experience
  • Excellent organizational skills
  • High proficiency for accuracy
  • Proficiency in Microsoft Excel and Word
  • Working knowledge of SAP
What we offer:
  • medical, vision, dental, life, and disability insurance
  • bonus
  • free online training
  • 401(k) plan

Additional Information:

Job Posted:
February 01, 2026

Employment Type:
Fulltime
Work Type:
Hybrid work
Job Link Share:

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