Treasury Analyst
Group 1 Auto
Overview Group 1 Automotive is seeking a detailed-oriented and analytical Treasury Analyst to support the daily cash management activities in fast-paced Treasury operations. The role plays a key part in optimizing liquidity, ensuring compliance with policies, and maintaining strong controls over treasury operations. The Treasury Analyst plays a critical role in maintaining the financial stability and liquidity of the organization while minimizing financial risks. The Treasury Analyst is responsible for supporting daily cash management activities and treasury operations while ensuring accuracy, compliance, and strong internal controls. This role partners closely cross-departmentally to support liquidity management, reporting, reconciliations, and treasury-related operational processes. This position is ideal for a detail-oriented and analytical finance professional looking to grow within a corporate treasury environment. Responsibilities Cash Management Work closely with the Director, Assistant Treasurer to ensure liquidity and funding requirements are delivered consistently with cash management strategies Monitor daily cash flow and ensure adequate liquidity to meet short-term and long-term obligations Oversee and/or initiate wire transfers, ACH payments, and bank transactions Prepare and deliver treasury-related reports, including cash position summaries Forecast cash requirements and prepare variance analyses for management review Manage daily reconciliation process, research, and troubleshoot issues related to payments, bank transmissions, debt, investments, and other cash management related issues to ensure resolution Banking Administration Maintain bank account documentation, authorized signatory records and legal documentation related to SOX requirements and FBAR regulations Assist with bank account administration, including opening and closing bank accounts, and electronic user administration Respond and manage Treasury mailbox inquiries related to field operations Reporting and Compliance Adhere to month-end and quarter-end schedules and processes Provide information in connection with the external and internal audits and monitor cash management activities to ensure compliance Maintain accurate and up-to-date documentation for audits and internal reviews Review bank account analysis statements monthly to ensure accuracy, identify errors, and resolve quickly Process Improvement Identify opportunities to automate treasury workflows, reduce bank fees, and enhance internal controls Maintain policies and procedures related to functional responsibilities Assist in ad-hoc special projects related to all areas of Treasury Cross-train and serve as back-up for treasury team Stay informed of emerging technologies and best practices in treasury management Qualifications Bachelor's degree in Finance, Accounting, or a related field. A Master's degree or professional certification (e.g., CTP, CFA) is a plus 2-4+ years of experience in Treasury, Finance, or related Accounting Proven experience in treasury operations and cash management Experience operating in complex, multi-entity environments Comfortable in a fast-paced, high-visible role managing multiple priorities Effective communication and interpersonal skills to collaborate with cross-functional teams and external stakeholders High attention to detail and detailed-oriented Effective planning, prioritization, and time management skills Strong initiative and ability to work independently Ability to maintain flexible attitude and approach towards assignments and competing priorities Continuous improvement mindset, team player, and strong work ethic who is passionate about growth Proficiency in ERP (Oracle), knowledge of banking platforms (BOA CashPro a plus) Advanced knowledge Microsoft Office Suite, particularly Excel Equal Opportunity Employer We are an Equal Opportunity Employer and do not discriminate based on race, color, religion, sex, national origin, age, disability, or any other protected status. Employment may be contingent upon successful completion of a background check and/or drug screening. #J-18808-Ljbffr
- ...We have partnered with a publicly traded company that is looking for a Treasury Analyst. This is a high-visibility seat; you’ll be presenting directly to the CEO and CFO, working in an active M&A environment, and building out the treasury function’s reporting and automation...SuggestedShift work
- ...class team and culture and contribute to our core mission which is enhancing our customer's experience. Position Summary The Treasury Analyst will support core Treasury activities across cash management, liquidity reporting, funding operations, and financial analysis....SuggestedTemporary workInternshipVisa sponsorshipWork visaMonday to FridayWeekend work
- ...Job Overview Supports daily treasury operations including cash management, bank reconciliations, cash flow forecasting, and financial... ...discrepancies in cash activity Gather information from trader analysts to forecast cash needs and determine availability when new purchases...SuggestedWork at office
- ...Treasury Analyst - Houston The Treasury Analyst is responsible for supporting the Company’s daily treasury operations, including cash management, liquidity planning, financial reporting, and banking activities. This role partners closely with Finance, Accounting, banking...SuggestedTemporary work
- ...Burnett Specialists Staffing | Recruiting is seeking a Treasury Analyst to support daily treasury operations, including cash management and financial reporting. The analyst will partner closely with finance, accounting, and banking partners to ensure effective cash operations...Suggested
- ...Company Summary: A large, publicly traded, multi-location consumer-facing organization is seeking a detail-oriented and analytical Treasury Analyst to support daily cash management activities within a fast-paced treasury function. This role plays a key part in optimizing...
$40 - $45 per hour
...We are seeking a polished, high-performing Treasury Analyst to join a fast-paced, high-growth organization in a highly visible role reporting directly to executive leadership and the C-suite. This position is ideal for a treasury professional who thrives in a dynamic...Permanent employmentContract work- ...Support mid‑back office Treasury operations by executing settlements, confirmations, and bank administration activities while ensuring strong financial controls across global Treasury processes. Key Responsibilities Treasury Operations & Settlements Execute settlements...
- ...relationships, and supporting debt and other financing activities. Produces reports to aid in forecasting cash needs and assists with treasury functions to support the University’s financial health, compliance with internal policies, and overall financial operations. Works...Temporary workBank staff
- ...Treasury Analyst (Contrast) - Houston, TX The Treasury Analyst is responsible for the daily execution of all treasury and cash management activities, including both trading and non-trading settlements, representing approximately 7000 treasury transactions per year. The...Daily paid
$35 - $40 per hour
...Treasury Analyst JOB-10046946 Anticipated Start Date July 20, 2026 Location Houston, TX Type of Employment Contract Employer Info Since our client’s founding it has exhibited a remarkable ability to do what others said could not be done. Ranked among the world’s largest...Daily paidContract workWork at officeLocal areaWork from home- ...provide comprehensive support to companies of all sizes across various stages of their business journey. They are looking for a Treasury Analyst to join their Business Process Outsourcing team. Key Responsibilities: Monitor daily banking activity Record cash...Weekly payH1bWork at officeFlexible hours
$81.52k - $95.9k
...new things, learn new skills and discover what you excel at—all from Day One. Job Description This position is a key contact for Treasury Management customers and is responsible for ensuring that optimal levels of services are made available. Assists Treasury Management...Temporary workWork experience placementWork at officeLocal areaRemote workFlexible hours3 days per week- TotalEnergies is seeking a Treasury Analyst in Houston, Texas, to manage daily cash activities and ensure payment accuracy. The role requires strong analytical skills and 3-5 years of experience in treasury and cash management. The successful candidate will conduct cash...
- Houston Christian University is seeking a treasury professional to monitor liquidity, forecast cash needs, and manage banking relationships. You will oversee payments, investments, and treasury reporting while ensuring compliance with GAAP, SOX, and internal controls....
- Houston Christian University is seeking a treasury professional to oversee liquidity, cash management, forecasting, banking relationships, and financing activities in support of the University’s financial health and compliance. Collaborating with the finance team, you...
- Burnett Specialists Staffing | Recruiting is seeking a Treasury Analyst in Houston, TX. The role focuses on daily treasury and cash management activities, including settlements, forecasting, and cross-team coordination with Finance and Back Office groups. You will maintain...
- ...international environment that demands a proactive, adaptable mindset and the ability to anticipate evolving business needs. The Treasury Analyst must demonstrate strong analytical and communication skills, paired with exceptional accuracy and efficiency, to safeguard the...Daily paidContract workLocal areaVisa sponsorshipWork visa
- Position Summary We are seeking a Treasury Analyst for our Cash Management team. This employee provides professional accounting services and serves as the interface between all operating units and the Office of Accounting on cash management issues. You will be working...Full timeWork at office
$35 - $40 per hour
GAS GLOBAL SERVICES in Houston, TX is seeking a detail-oriented Treasury Analyst to support their mid- and back-office treasury operations. The role involves financial transaction execution and cash reconciliation while ensuring compliance with internal policies. The ideal...- Selby Jennings is looking for a detail-oriented Treasury Analyst in Houston, Texas. This position supports daily cash management activities within a fast-paced treasury function, optimizing liquidity, ensuring compliance, and enhancing operational controls. The ideal candidate...
$40 - $45 per hour
RGP, located in Houston, Texas, is seeking a Treasury Analyst to support critical treasury operations in a fast-paced environment. This contract-to-hire role requires strong expertise in cash management, as well as advanced skills in Excel. The ideal candidate will have...Contract work- TotalEnergies Gas & Power North America, Inc. is seeking a Treasury Analyst to execute daily treasury and cash management activities for ATMI, TGPNA, and GLNGNA. The role involves handling both trading and non-trading settlements, with approximately 7,000 transactions...
- JSS is seeking a Graduate Treasury Analyst to join its corporate finance team in Houston, Texas. This role offers recent graduates an exceptional opportunity to contribute to a centralized treasury function and gain hands-on experience in global cash management and treasury...
- Senior Treasury Analyst - Foreign Exchange (FX) & Hedging Houston, TX, United States Job Description Job Overview: The Senior Treasury Analyst - FX & Hedging is responsible for supporting the Company's global foreign exchange risk management program, executing and administering...
- UTHealth Houston is looking for a Treasury Analyst to join their Cash Management team. This full-time position will involve performing cash management services, monitoring investment programs, and forecasting cash flows. A minimum of an associate's degree in Business Administration...Full time
$81.52k - $95.9k
U.S. Bank in Houston is seeking a Treasury Management Sales Support professional to serve as a key contact for customers. You will ensure optimal service levels, assist with proposals, and analyze complex customer needs. The ideal candidate will have a Bachelor’s degree...Work at office- Group 1 Automotive is seeking a detail-oriented Treasury Analyst to support daily cash management activities and treasury operations, ensuring accuracy, compliance, and strong internal controls. In this role you will collaborate across departments to optimize liquidity...
- Affirm is looking for a Capital Operations Analyst to join their Treasury team based in Houston, Texas. In this role, you will support capital and funding operations while improving processes in a fast-paced environment. The ideal candidate should have 2+ years of experience...Remote jobFlexible hours
- Burnett Staffing Specialists is seeking a Treasury Analyst in Houston to support daily treasury operations, liquidity planning, financial reporting, and banking activities. The role demands strong analytical and organizational skills to efficiently manage cash operations...
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