Treasury Analyst
$65k - $80kCalifornia Bioenergy LLC
Treasury Analyst
Company: California Bioenergy LLC ("CalBio")
Department: Treasury
Reports To: Treasury Manager
Office Location: Dallas, TX In Office Position
Annual Salary: $65,000 to $80,000
Benefits: Standard Calbio benefits package is available: Medical, dental, vision, life insurance, 401k with match.
Company Description
California Bioenergy (CalBio) develops, owns, and operates renewable natural gas (RNG) facilities that capture methane emissions from dairy operations and convert them into clean, renewable energy.
Our projects provide meaningful environmental benefits by reducing greenhouse gas emissions, improving regional air quality, and supporting California's climate goals. CalBio currently reduces more than one million metric tons of CO?-equivalent emissions annually and continues to expand its operational footprint throughout California and beyond.
Through innovation, operational excellence, and strong partnerships with dairy producers, CalBio is helping create a more sustainable future while delivering reliable renewable energy solutions.
Position Summary
The Treasury Analyst supports the day-to-day treasury operations of California Bioenergy and its affiliated entities by helping ensure the timely and accurate processing, recording, and monitoring of cash and banking transactions. This role is responsible for daily bank account activity, deposits, intercompany transfers, payment support, treasury-related entries, and maintaining accurate documentation across multiple legal entities.
Reporting to the Treasury Manager, the Treasury Analyst works closely with Accounting, Accounts Payable, Accounts Receivable, Finance, and Human Resources to support cash management, payment processing, bank administration, financial reporting, and internal controls. The ideal candidate is detail-oriented, dependable, highly organized, and comfortable working in a fast-paced, collaborative environment.
Essential Job Responsibilities
Daily Cash Management & Bank Monitoring
- Monitor daily activity and balances across multiple bank accounts and legal entities.
- Review incoming and outgoing transactions for completeness, accuracy, and appropriate recording.
- Identify unusual, unexpected, or potentially fraudulent transactions and promptly escalate concerns.
- Assist with daily cash positioning and maintain accurate cash activity schedules.
- Research and resolve bank transaction discrepancies in coordination with internal teams and banking partners.
Payment Processing & Deposits
- Support the weekly payment and check-run process in partnership with Accounts Payable.
- Assist with the preparation and processing of checks, ACH payments, wire transfers, and other treasury transactions.
- Prepare, process, and document bank deposits, including remote deposits when applicable.
- Review Positive Pay activity and support established payment controls and fraud-prevention procedures.
- Respond to internal questions regarding payment status, deposits, and banking transactions.
- Intercompany & Accounting Support
- Process and record intercompany cash transfers across multiple affiliated entities.
- Enter treasury-related transactions and journal entries in Sage accurately and timely.
- Maintain clear supporting documentation for intercompany transfers, deposits, payments, and other cash activity.
- Assist Accounting with bank reconciliations, month-end closing, and research of outstanding or reconciling items.
- Coordinate with Accounts Receivable to support the identification and application of customer receipts and deposits.
Banking Administration & Controls
- Support administration of Chase and other online banking platforms, including account information and user documentation.
- Assist with bank account openings, closings, signer changes, and maintenance requests.
- Maintain organized treasury records, banking documents, authorized signer information, and audit support schedules.
- Follow established treasury policies, approval requirements, segregation-of-duties standards, and internal controls.
- Safeguard confidential banking, employee, vendor, and company financial information.
Cross-Functional Support & Process Improvement
- Partner with Accounting, Accounts Payable, Accounts Receivable, Finance, and Human Resources to ensure treasury transactions are processed accurately and on time.
- Assist with treasury reporting, cash activity schedules, audit requests, and other recurring deliverables.
- Support banking implementations, system enhancements, and treasury process-improvement initiatives.
- Help document, maintain treasury procedures, and identify opportunities to improve efficiency, accuracy, and controls.
- Perform other treasury and finance-related duties and special projects as assigned.
Qualifications & Experience
- Bachelor's degree in accounting, finance, business administration, or a related field required.
- Two to five years of treasury and banking experience required.
- Hands-on experience with cash management, bank account monitoring, deposits, ACH payments, wire transfers, check processing, and intercompany transactions preferred.
- Experience supporting multiple legal entities and working within established financial controls is preferred.
- Experience with Sage or a comparable accounting or enterprise resource planning system preferred.
- Experience with Chase Access or a similar commercial online banking platform preferred.
- Intermediate proficiency in Microsoft Excel and working knowledge of Microsoft Outlook, Word, and related business applications.
- Strong attention to detail, accuracy, organization, and follow-through.
- Ability to manage multiple priorities, meet recurring deadlines, and work effectively with limited supervision.
- Strong written and verbal communication skills and the ability to collaborate effectively across departments.
- Demonstrated integrity, sound judgment, discretion, and commitment to protecting confidential information.
- Ability to work full-time from CalBio's Dallas, Texas office.
Working Conditions
- This is a fully on-site position requiring regular attendance at the assigned work location (Dallas, TX)
- Standard office environment with prolonged periods of sitting and computer use
- Regular use of accounting software, spreadsheets, and office equipment
- Occasional extended hours may be required during month-end, quarter-end, or year-end close periods
- Limited travel may be required for meetings or training, with advance notice
$129.82k - $135.01k
Treasury Analyst, Global OperationsJob DescriptionKimberly-Clark USA, LLCTreasury Analyst, Global OperationsTreasury Analyst, Global Operations positions offered by Kimberly-Clark USA, LLC (Irving, Texas). Ensure visibility of global cash balances leveraging the Treasury...SuggestedFull timeTemporary workWork at officeRemote work- ...Corporate Offices Irving, TXOverviewIn response to our continued growth, we are actively seeking a skilled and dedicated Senior Treasury Analyst to join our team. The successful candidate will have a deep understanding of common bank and treasury services and products,...SuggestedFull timeTemporary workWork experience placementWork at officeWorldwide
$25 - $26.44 per hour
...learn more, visit .JOB DESCRIPTION SUMMARYThis position provides treasury support services to accounting within a centralized treasury... ...adherence to real estate lawProvides back-up for other Treasury Analysts and cross-trains in all areas of TreasuryPerforms other tasks or...SuggestedHourly payFull timeWork at officeLocal areaImmediate startRemote work- ...Senior Treasury AnalystThe Senior Treasury Analyst supports Integrity's treasury function by delivering high-impact cash flow analysis and forecasting, building and maintaining treasury reporting and dashboards, and assisting with capital markets, debt service, and liquidity...SuggestedTemporary workLocal area
- ...Overview Location - Irving, TX - Hybrid - 3 days in office, 2 remote Celanese is seeking a Senior Treasury Analyst to join our Capital Markets team. This role supports the company’s funding, liquidity, and balance sheet strategy through capital markets execution...SuggestedWork at officeRemote work
- ...Senior Treasury Analyst page is loaded## Senior Treasury Analystlocations: Dallas, TXtime type: Full timeposted on: Posted Yesterdayjob requisition id: JR3855**Job summary:**This role is expected to help prepare and execute the daily/recurring treasury activities. They...Daily paidLocal areaFlexible hours
- ...Treasury AnalystTreasury Analyst performs daily liquidity management responsibilities for HF Sinclair which includes ensuring adherence to policies and procedures, preparing cash reports, performs bank validation testing, and executing investment and borrowing strategies...Daily paidTemporary work
$85k - $125k
...Senior Treasury Analyst We are always seeking talented, motivated, growth-minded, and creative individuals. Our firm is committed to providing employee support and advancement, while embracing inclusion and innovation as keys to a stronger future. We invite you...Temporary workWork at officeRemote workShift work- ...Job Summary The Treasury Analyst is responsible for overseeing the day‑to‑day cash management of the Company in conformity with company guidelines and internal controls. This includes the daily reconciliation of bank accounts, ensuring that accounts are adequately funded...Temporary workFor contractorsWork at officeFlexible hours1 day per week
$53k - $69.3k
...and payment requests, including review of supporting documentation and verification of payment instructions.Monitor and manage the Treasury inbox, responding to requests and tracking items through completion.Reconcile and manage Canadian / International cash balances...Temporary workWork at officeDay shift- ...Candidate must be within a commutable distance of either our Cypress Waters, TX, or Detroit, MI, location. As the Senior Treasury Analyst, you are responsible for supporting liquidity management, maintaining strong bank and rating agency relationships and providing...Full time
- ...I'm working on a great opportunity for an experienced Treasury/Finance professional with strong analytical skills and hands‑on experience with cash forecasting and Hyperion . What we're looking for: Hyperion experience - required 4+ years of Finance, Accounting, Treasury...Temporary work
$100k - $110k
...Senior Treasury Analyst Location: Dallas, TX Work Arrangement: Hybrid (4 Days In Office / 1 Day Remote) Compensation: $100,000 - $110,000 + Bonus Potential About the Opportunity Our client is a rapidly growing, multi-billion-dollar PE backed organization seeking a Senior...Temporary workWork at officeRemote work- ...people, the efficiency and scope of its operations, and its rich heritage of honesty and integrity. Position Summary The Senior Treasury Analyst is responsible for maintaining the company’s debt and investment portfolios, supporting daily cash operations, maintaining...Work at officeWorldwide
- ...and financial reporting, often working with moderate supervision to complete recurring and non-standard tasks. The Senior Treasury Analyst is responsible for supporting the organization’s global cash and liquidity management, debt administration, investment activities...Full timeTemporary workWork at officeRemote workShift workDay shift
$78.9k - $96.7k
...Simple eXperience for our Customers. Join us, and find your runway to growth, innovation, and success. About The Role The Senior Treasury Analyst is responsible for the day-to-day management of JSX's treasury operations, including banking relationships, cash positioning,...Temporary workBank staffImmediate startFlexible hours- ...Hyperion (Must Have) Cash Forecasting Tableau/Power BI Data Analyst Skills Primary Duties 1. Maintains functional area policies, procedures and controls to assure compliance with Treasury policies, Generally Accepted Accounting Principles (GAAP) and...Temporary workWork at office
- ...global setting, we want to hear from you. Make an Impact Fossil Group is seeking a highly motivated and analytical Sr. Treasury Analyst to join the team. Based in Richardson, TX, you will report to the Treasury Manager and contribute to the Treasury and...Work at office
$65k - $80k
...Job Title: Treasury Analyst Company: California Bioenergy LLC ("CalBio") Department: Treasury Reports To: Treasury Manager Office Location: Dallas, TX - In Office position Annual Salary: $65,000 to $80,000 Benefits: Standard Calbio benefits package is...Weekly payFull timeWork at officeRemote work- ...A leading electrical distributor is seeking a Treasury Analyst based in Dallas, Texas. The role focuses on overseeing daily cash management and ensuring compliance with company policies, along with preparing financial reports and forecasts. Candidates should hold a Bachelor...
$160k - $170k
...Treasury Analyst (PR/598750) Dallas, Texas Salary: USD160000 - USD170000 per year A leading multi-strategy investment firm is seeking a highly analytical professional to join its Treasury team. This role sits at the intersection of funding, liquidity, margin, capital,...- ...Troutman Pepper Locke LLP in Dallas is seeking a Senior Treasury Analyst to manage the firm’s treasury operations, including cash management, banking activities, and liquidity planning. The role involves monitoring cash positions, reviewing banking transactions, and ensuring...
$75k - $90k
...specialize in partnering Finance and Accounting leaders to source top-tier talent across North America. Position: Senior Treasury Finance Analyst Edward Mann are hiring for our client who are looking for a dynamic, detail-oriented, and team-focused Senior Financial Analyst...Permanent employmentFull timeTemporary workWork at officeImmediate startShift work- ...Senior Treasury AnalystIn response to our continued growth, we are actively seeking a skilled and dedicated Senior Treasury Analyst to join our team. The successful candidate will have a deep understanding of common bank and treasury services and products, including portal...Full timeTemporary work
- ...Infosys Limited in Irving, TX invites talented professionals to join its Financial Services unit as a treasury/finance analyst focused on accounts payable/receivable and cash management. You will analyze processes, benchmark against industry standards, and collaborate...
- ...HF Sinclair, headquartered in Dallas, Texas, is seeking a Treasury Analyst to manage daily liquidity, cash forecasting, and banking operations. You will validate vendor banking data, monitor payments in Kyriba, and support fraud prevention initiatives while ensuring SOX...
- ...entries ~Utilize technology to prepare and produce management reports ~Work closely with various teams in the company (finance, treasury, accounts payable, etc.) to ensure compliance ~Communicate effectively with corporate operations and marina property personnel to...Full timeWork at officeFlexible hours
- Fossil Group in Richardson, TX is seeking a Sr. Treasury Analyst to join the Treasury and Corporate Finance team. You will report to the Treasury Manager and drive cash forecasting, liquidity management, and intercompany funding processes. The role requires 5+ years of...
- Rocket is seeking a Senior Treasury Analyst to support liquidity management, banking relationships and funding strategies. The role involves managing funding facilities, monitoring liquidity and ensuring compliance with debt covenants. You will engage with banks, rating...
- A leading insurance administrative firm located in Dallas, Texas is seeking a Senior Treasury Analyst to manage daily treasury activities, drive cash transfers, and assist in cash forecasting and planning. The ideal candidate should possess a Bachelor's degree in Accounting...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Analyst. Be the first to apply!


