Treasury Analyst I
Valvoline
Why Valvoline Global Operations?
At Valvoline Global Operations , we're proud to be The Original Motor Oil , but we've never rested on being first. Founded in 1866, we introduced the world's first branded motor oil, staking our claim as a pioneer in the automotive and industrial solutions industry. Today, as an affiliate of Aramco , one of the world's largest integrated energy and chemicals companies, we are driven by innovation and committed to creating sustainable solutions for a better future. With a global presence, we develop future-ready products and provide best-in-class services for our partners around the world. For us, originality isn't just about where we began; it's about where we're headed and how we'll lead the way. We are originality in motion. Our corporate values- Care, Integrity, Passion, Unity, and Excellence -are at the heart of everything we do. These values define how we operate, how we treat one another, and how we engage with our partners, customers, and the communities we serve. At Valvoline Global, we are united in our commitment to:
• Treating everyone with care.
• Acting with unwavering integrity.
• Striving for excellence in all endeavors.
• Delivering on our commitments with passion.
• Collaborating as one unified team. When you join Valvoline Global , you'll become part of a culture that celebrates creativity, innovation, and excellence. Together, we're shaping the future of automotive and industrial solutions. This position will be based at our Lexington, Kentucky location. To create greater consistency across locations and opportunities for teams to collaborate in person, beginning in the first half of 2027, the new global standard will be four days per week in the office. In most locations, this will be Monday through Thursday, with Friday remaining optional in the office. The Treasury Analyst I supports the day-to-day treasury operations of Valvoline Global Operations (VGO), with a focus on cash management, liquidity monitoring, banking activities, trade finance administration, and treasury reporting. The role helps maintain accurate visibility of cash positions and supports the timely and controlled execution of treasury activities across VGO's global, multi-entity environment. Working under the guidance of treasury leadership and more senior treasury team members, the Treasury Analyst II performs recurring treasury processes, prepares and validates financial information, coordinates with internal finance teams and banking partners, and helps resolve routine operational issues. The role requires strong attention to detail, analytical capability, and adherence to established treasury policies, controls, and procedures. Key Responsibilities Include:
Cash Management & Liquidity Support
• Support daily cash positioning by gathering and validating bank balances and cash activity across multiple entities, regions, and currencies.
• Monitor daily cash movements and identify discrepancies or unusual transactions for investigation and escalation.
• Assist with short-term cash flow forecasting by collecting, consolidating, and reviewing inputs from finance teams.
• Support intercompany funding and cash concentration activities in accordance with established procedures and approvals.
• Prepare recurring cash position, liquidity, and cash flow reports for review by treasury leadership.
• Perform reconciliations and follow up on outstanding or unreconciled cash items.
• Maintain accurate treasury data used to support liquidity planning and operational decision-making. Treasury Operations
• Process approved bank transfers, funding movements, and other routine treasury transactions in accordance with established policies and controls.
• Support the administration of banking platforms, including maintaining payment templates, account information, and user access documentation.
• Daily monitoring of in-house check printing and coordinating with relevant stakeholders both internal and external for check dispatch along with AR check received at HQ to be send to trade and non-trade lockbox.
• Coordinate with internal stakeholders and banking partners to resolve routine payment, banking, and transaction-related issues.
• Maintain banking records and supporting documentation to ensure information is complete, accurate, and readily available.
• Assist with bank fee analysis, investment reporting, and other recurring treasury operational activities.
• Escalate transaction exceptions, control issues, and unusual activity to senior treasury team members as appropriate. Trade Finance Administration
• Support the administration and tracking of trade finance instruments, including letters of credit, bank guarantees, and standby letters of credit.
• Maintain accurate records and documentation for outstanding trade finance instruments.
• Assist with documentation required for issuances, amendments, renewals, and cancellations.
• Track expiration dates and other key milestones and communicate upcoming actions to appropriate stakeholders.
• Coordinate with subsidiaries, distributors, internal stakeholders, and banking partners to support timely processing of trade finance requests.
• Review documentation for completeness and escalate exceptions or discrepancies for resolution. Compliance, Controls & Governance
• Perform treasury activities in accordance with VGO policies, established approval requirements, SOX controls, and governance standards.
• Maintain appropriate documentation and audit trails for treasury transactions and activities.
• Assist with internal and external audit requests by compiling supporting documentation and transaction information.
• Perform assigned treasury control activities accurately and within established timelines.
• Identify potential control or process issues and escalate them to treasury leadership.
• Support updates to treasury procedures, process documentation, and control records. Systems, Reporting & Process Improvement
• Utilize treasury management systems, online banking platforms, and financial reporting tools to execute assigned activities.
• Prepare recurring treasury reports covering cash positions, liquidity, bank fees, trade finance, and other operational metrics.
• Review treasury data for accuracy and investigate routine reporting discrepancies.
• Maintain treasury data and system information in accordance with established procedures.
• Support testing and implementation of treasury system enhancements and process changes.
• Identify opportunities to simplify recurring activities, improve data accuracy, and increase process efficiency.
• Assist with automation and standardization initiatives under the direction of more senior treasury team members. Stakeholder & Operational Support
• Respond to routine treasury inquiries from finance teams and other internal stakeholders.
• Coordinate across global teams to gather information and facilitate completion of treasury activities.
• Develop effective working relationships with internal finance partners and external banking contacts.
• Communicate transaction status, outstanding items, and operational issues clearly and in a timely manner.
• Escalate complex or higher-risk matters to senior treasury team members for guidance and resolution. What You'll Need
• Bachelor's degree in Finance, Accounting, Economics, Business or a related field 2-4 years of relevant experience in treasury, corporate finance, banking operations, accounting, or a related financial role.
• Foundational knowledge of cash management, banking, liquidity, and treasury operations.
• Experience working with financial transactions, reconciliations, cash reporting, or similar finance processes.
• 2-4 years of relevant experience in Treasury, Corporate Finance, Banking Operations, Accounting, or a related financial role
• Exposure to trade finance instruments such as letters of credit, bank guarantees, or standby letters of credit preferred.
• Strong analytical and problem-solving skills with the ability to identify and investigate discrepancies.
• Proficiency in Microsoft Excel and ability to work effectively with financial data and reporting.
• Strong attention to detail and commitment to accuracy when processing transactions and maintaining financial records.
• Understanding of financial controls and the importance of following established authorization and documentation requirements.
• Ability to organize work, manage multiple priorities, and meet recurring deadlines.
• Strong written and verbal communication skills.
• Ability to collaborate effectively with colleagues across functions, geographies, and time zones.
• High level of integrity and discretion when handling sensitive financial and banking information. What Will Set You Apart
• Exposure to a global, multi-entity, or multi-currency business environment preferred.
• Experience with treasury management systems, ERP systems, or online banking platforms preferred Benefits That Drive Themselves
• Health insurance plans (medical, dental, vision)
• Health Savings Account (with employer-base deposit and match)
• Flexible spending accounts
• Competitive 401(k) with generous employer base deposit and match
• Incentive opportunity*
• Life insurance
• Short- and long-term disability insurance
• Paid vacation and holidays*
• Employee Assistance Program
• Employee discounts
• PTO Buy/Sell Options*
• Tuition reimbursement*
• Adoption assistance*
• Terms and conditions apply, and benefits may differ depending on position or tenure #LI-MW1 Valvoline Global is an equal opportunity employer . We are dedicated to fostering an environment where every individual feels valued, respected, and empowered to contribute their unique perspectives and skills. We strictly prohibit discrimination and harassment of any kind, regardless of race, color, religion, age, sex, national origin, disability, genetics, veteran status, sexual orientation, gender identity, or any other legally protected characteristic. We are committed to ensuring accessibility throughout our recruitment process. If you require a reasonable accommodation to participate in any stage of the recruitment or selection process, please contact us at:.
• Email : View email address on click.appcast.io This contact information is solely for accommodation requests. For inquiries about application status, please use the appropriate channels listed in your application materials. Are You Ready to Make an Impact? At Valvoline Global, we're looking for passionate and talented individuals to join our journey of innovation and excellence. Are you ready to shape the future with us? Apply today. Requisition ID: 2627
At Valvoline Global Operations , we're proud to be The Original Motor Oil , but we've never rested on being first. Founded in 1866, we introduced the world's first branded motor oil, staking our claim as a pioneer in the automotive and industrial solutions industry. Today, as an affiliate of Aramco , one of the world's largest integrated energy and chemicals companies, we are driven by innovation and committed to creating sustainable solutions for a better future. With a global presence, we develop future-ready products and provide best-in-class services for our partners around the world. For us, originality isn't just about where we began; it's about where we're headed and how we'll lead the way. We are originality in motion. Our corporate values- Care, Integrity, Passion, Unity, and Excellence -are at the heart of everything we do. These values define how we operate, how we treat one another, and how we engage with our partners, customers, and the communities we serve. At Valvoline Global, we are united in our commitment to:
• Treating everyone with care.
• Acting with unwavering integrity.
• Striving for excellence in all endeavors.
• Delivering on our commitments with passion.
• Collaborating as one unified team. When you join Valvoline Global , you'll become part of a culture that celebrates creativity, innovation, and excellence. Together, we're shaping the future of automotive and industrial solutions. This position will be based at our Lexington, Kentucky location. To create greater consistency across locations and opportunities for teams to collaborate in person, beginning in the first half of 2027, the new global standard will be four days per week in the office. In most locations, this will be Monday through Thursday, with Friday remaining optional in the office. The Treasury Analyst I supports the day-to-day treasury operations of Valvoline Global Operations (VGO), with a focus on cash management, liquidity monitoring, banking activities, trade finance administration, and treasury reporting. The role helps maintain accurate visibility of cash positions and supports the timely and controlled execution of treasury activities across VGO's global, multi-entity environment. Working under the guidance of treasury leadership and more senior treasury team members, the Treasury Analyst II performs recurring treasury processes, prepares and validates financial information, coordinates with internal finance teams and banking partners, and helps resolve routine operational issues. The role requires strong attention to detail, analytical capability, and adherence to established treasury policies, controls, and procedures. Key Responsibilities Include:
Cash Management & Liquidity Support
• Support daily cash positioning by gathering and validating bank balances and cash activity across multiple entities, regions, and currencies.
• Monitor daily cash movements and identify discrepancies or unusual transactions for investigation and escalation.
• Assist with short-term cash flow forecasting by collecting, consolidating, and reviewing inputs from finance teams.
• Support intercompany funding and cash concentration activities in accordance with established procedures and approvals.
• Prepare recurring cash position, liquidity, and cash flow reports for review by treasury leadership.
• Perform reconciliations and follow up on outstanding or unreconciled cash items.
• Maintain accurate treasury data used to support liquidity planning and operational decision-making. Treasury Operations
• Process approved bank transfers, funding movements, and other routine treasury transactions in accordance with established policies and controls.
• Support the administration of banking platforms, including maintaining payment templates, account information, and user access documentation.
• Daily monitoring of in-house check printing and coordinating with relevant stakeholders both internal and external for check dispatch along with AR check received at HQ to be send to trade and non-trade lockbox.
• Coordinate with internal stakeholders and banking partners to resolve routine payment, banking, and transaction-related issues.
• Maintain banking records and supporting documentation to ensure information is complete, accurate, and readily available.
• Assist with bank fee analysis, investment reporting, and other recurring treasury operational activities.
• Escalate transaction exceptions, control issues, and unusual activity to senior treasury team members as appropriate. Trade Finance Administration
• Support the administration and tracking of trade finance instruments, including letters of credit, bank guarantees, and standby letters of credit.
• Maintain accurate records and documentation for outstanding trade finance instruments.
• Assist with documentation required for issuances, amendments, renewals, and cancellations.
• Track expiration dates and other key milestones and communicate upcoming actions to appropriate stakeholders.
• Coordinate with subsidiaries, distributors, internal stakeholders, and banking partners to support timely processing of trade finance requests.
• Review documentation for completeness and escalate exceptions or discrepancies for resolution. Compliance, Controls & Governance
• Perform treasury activities in accordance with VGO policies, established approval requirements, SOX controls, and governance standards.
• Maintain appropriate documentation and audit trails for treasury transactions and activities.
• Assist with internal and external audit requests by compiling supporting documentation and transaction information.
• Perform assigned treasury control activities accurately and within established timelines.
• Identify potential control or process issues and escalate them to treasury leadership.
• Support updates to treasury procedures, process documentation, and control records. Systems, Reporting & Process Improvement
• Utilize treasury management systems, online banking platforms, and financial reporting tools to execute assigned activities.
• Prepare recurring treasury reports covering cash positions, liquidity, bank fees, trade finance, and other operational metrics.
• Review treasury data for accuracy and investigate routine reporting discrepancies.
• Maintain treasury data and system information in accordance with established procedures.
• Support testing and implementation of treasury system enhancements and process changes.
• Identify opportunities to simplify recurring activities, improve data accuracy, and increase process efficiency.
• Assist with automation and standardization initiatives under the direction of more senior treasury team members. Stakeholder & Operational Support
• Respond to routine treasury inquiries from finance teams and other internal stakeholders.
• Coordinate across global teams to gather information and facilitate completion of treasury activities.
• Develop effective working relationships with internal finance partners and external banking contacts.
• Communicate transaction status, outstanding items, and operational issues clearly and in a timely manner.
• Escalate complex or higher-risk matters to senior treasury team members for guidance and resolution. What You'll Need
• Bachelor's degree in Finance, Accounting, Economics, Business or a related field 2-4 years of relevant experience in treasury, corporate finance, banking operations, accounting, or a related financial role.
• Foundational knowledge of cash management, banking, liquidity, and treasury operations.
• Experience working with financial transactions, reconciliations, cash reporting, or similar finance processes.
• 2-4 years of relevant experience in Treasury, Corporate Finance, Banking Operations, Accounting, or a related financial role
• Exposure to trade finance instruments such as letters of credit, bank guarantees, or standby letters of credit preferred.
• Strong analytical and problem-solving skills with the ability to identify and investigate discrepancies.
• Proficiency in Microsoft Excel and ability to work effectively with financial data and reporting.
• Strong attention to detail and commitment to accuracy when processing transactions and maintaining financial records.
• Understanding of financial controls and the importance of following established authorization and documentation requirements.
• Ability to organize work, manage multiple priorities, and meet recurring deadlines.
• Strong written and verbal communication skills.
• Ability to collaborate effectively with colleagues across functions, geographies, and time zones.
• High level of integrity and discretion when handling sensitive financial and banking information. What Will Set You Apart
• Exposure to a global, multi-entity, or multi-currency business environment preferred.
• Experience with treasury management systems, ERP systems, or online banking platforms preferred Benefits That Drive Themselves
• Health insurance plans (medical, dental, vision)
• Health Savings Account (with employer-base deposit and match)
• Flexible spending accounts
• Competitive 401(k) with generous employer base deposit and match
• Incentive opportunity*
• Life insurance
• Short- and long-term disability insurance
• Paid vacation and holidays*
• Employee Assistance Program
• Employee discounts
• PTO Buy/Sell Options*
• Tuition reimbursement*
• Adoption assistance*
• Terms and conditions apply, and benefits may differ depending on position or tenure #LI-MW1 Valvoline Global is an equal opportunity employer . We are dedicated to fostering an environment where every individual feels valued, respected, and empowered to contribute their unique perspectives and skills. We strictly prohibit discrimination and harassment of any kind, regardless of race, color, religion, age, sex, national origin, disability, genetics, veteran status, sexual orientation, gender identity, or any other legally protected characteristic. We are committed to ensuring accessibility throughout our recruitment process. If you require a reasonable accommodation to participate in any stage of the recruitment or selection process, please contact us at:.
• Email : View email address on click.appcast.io This contact information is solely for accommodation requests. For inquiries about application status, please use the appropriate channels listed in your application materials. Are You Ready to Make an Impact? At Valvoline Global, we're looking for passionate and talented individuals to join our journey of innovation and excellence. Are you ready to shape the future with us? Apply today. Requisition ID: 2627
Vacancy posted 2 days ago
Similar jobs that could be interesting for youBased on the Treasury Analyst I in Lexington, KY vacancy
- Be the First to Apply DivisionPiramal Pharma SolutionsPiramal Pharma Solutions is a contract development and manufacturing organization (CDMO), offering end-to-end development and manufacturing solutions across the drug life cycle. We serve our clients through a globally...SuggestedFull timeContract workWork at officeLocal areaWorldwide
- Job-ID29044922Reference26-22388Job Title - Quality Control Analyst Job Description - Assist in document authoring/ revision and approval (protocols, test methods, SOPs) and other routine laboratory activities supporting the lab as 079 activities are completed by the biochem...Suggested
- For immediate consideration contact Lisa James at (***) ***-****We are looking for an accomplished Chief Financial Officer to lead the financial direction of our organization in Central, Kentucky. This executive will work closely with senior leadership to shape business ...SuggestedImmediate start
- About the RoleAre you a proven sales leader with a passion for the Public Sector? We are seeking a Manager of SLED Sales to lead, coach, and scale a high-performing team of Account Executives. In this senior leadership role, you will bridge the gap between high-level strategy...SuggestedLocal areaRemote work
- ...programs and serve as a subject matter expert for Firm financial matters. Collaborate with senior leadership, including Firm Financial Analyst, regarding reporting, budgeting, and Firm planning to ensure financial metrics are attainable and applicable to current business...SuggestedFull timeWork at officeImmediate start
$60k - $85k
Do you have a knack for communication and negotiation? Do you have experience in real estate or land acquisition? If so, Lamar Advertising of Lexington, Kentucky has an amazing opportunity for you! The purpose of the Real Estate Manager in Lexington, KY is to oversee all...Full timeTemporary workWork at officeLocal areaRelocationMonday to FridayNight shift- The Opportunity:Tetra Tech is adding experienced Cost Estimators to our Disaster Recovery team to support current and future disaster recovery operations across the United States.Why Tetra Tech:At Tetra Tech, we are Leading with Science to solve the world's most complex...Permanent employmentContract workFor contractorsFor subcontractorWork at officeRemote workWorldwideFlexible hoursAfternoon shift
- ...Position Summary Necco has an opportunity for a career as Safety Analyst. This role will provide the most value to the company by identifying areas of safety and risk within all company functions and services. The Safety Analyst will work in collaboration with operations...Contract workWork at office
- ...Investigative Analyst Help As an Investigative Analyst at the GS-1805-9 level, some of your typical work assignments may include: Gathering, researching, and analyzing various types of data from federal, state, local and public agencies. Providing administrative...Local area
- Are You Ready To Lead Financial Strategy And Drive Growth At A Dynamic Organization? The Chief Financial Officer (CFO) is a key strategic leader responsible for shaping and executing the company's financial and operational strategy. This role focuses on financial discipline...
- Chief Financial Officer (CFO) The Chief Financial Officer (CFO) is responsible for the fiscal health, capital planning, and risk management operations of Traditional Bank and its affiliates. Acting as a strategic partner to the CEO and Board of Directors, the CFO drives...Work experience placement2 days per week
- Tempur Sealy. Iconic brands. Storied history. Industry-leading innovation. Tempur Sealy is committed to improving the sleep of more people, every night, all around the world. As a leading designer, manufacturer, distributor, and retailer of bedding products worldwide, we...Full timeWork at officeLocal areaWorldwideNight shift
- Front Line Manager Duties As a Front Line Manager you will: Plan work to be accomplished by subordinates, sets and adjusts short-term priorities and prepares schedules for completion of work. Assign work to subordinates based on priorities, selective consideration...Temporary work
- Why Valvoline Global Operations? At Valvoline Global Operations , we’re proud to be The Original Motor Oil , but we’ve never rested on being first. Founded in 1866, we introduced the world’s first branded motor oil, staking our claim as a pioneer in the automotive...Temporary workWork at officeLocal areaFlexible hours3 days per week
- For immediate consideration contact Lisa James at (***) ***-****Like tax but don't like busy season? Give me a call. We are looking for an experienced tax leader to oversee corporate tax operations for a service organization in Lexington, Kentucky. This role guides compliance...Local areaImmediate start
- Catholic Charities of the Diocese of Lexington is seeking a Business Manager for Sts Peter and Paul Regional Catholic School and the Early Childhood Center. This role involves managing school finances including accounts payable and receivable, payroll, and budget analysis...
$45.3k - $113.3k
...responsibility for managing study specific requirements. Assist in the induction process, mentoring and training of new Primary analyst- Spirometry. Qualifications: Registered Respiratory Therapist (RRT) or Registered Respiratory Therapist PFT. At least 1-year...Full timePart timeImmediate startWorldwide- ...Medical Coding Reimbursement Analyst The Medical Coding Reimbursement Analyst ensures compliance with federal regulations through the Health Care Financing Administration; interacts directly with physicians and support staff through continuing education to facilitate...Work at office
- : Posting Details Job Title Grants Accounting Manager Senior Requisition Number RE44087 Working Title Grants Financial Compliance Specialist Department Name 3A600:Research Financial Services Work Location Lexington, KY Grade Level 47 Salary Range $56,596-...Full timeWork experience placementMonday to FridayShift work
$80k - $90k
...Board Certified Behavioral Analyst Residential group home facility is seeking a Board Certified Behavior Analyst for its Lexington location. This is a full time (40-50 hours per week) and reports directly to clinical manager. This person will provide therapy services...Full time- ...Coding Analyst II, Advanced This position may be eligible for remote home work within Central Kentucky after an in office training period of up to six months. Remote work requires the employee to demonstrate position knowledge and aptitude, and requires achievement/...Work at officeRemote workWork from home
- The Senior Compensation Analyst plays a key role in supporting the design, administration, and continuous improvement of the organization’s compensation and retirement programs, including the ESOP and 401(k). This position partners closely with leadership and cross-functional...Temporary work
$17.76 - $28.43 per hour
...Posting Details Posting Details Job Title Research Analyst Requisition Number RE55683 Working Title Department Name 7H090:CENTER ON DRUG & ALCOHOL RESEA Work Location Lexington, KY Grade Level 42...Full timeShift workWeekend workAfternoon shift- ...reputation with the clients. Currently, we are looking for entry-level software programmers, IT enthusiasts, Python/Java developers, Data analysts/ Data Scientists. Who Should Apply: Recent IT graduates looking to make their careers in IT Industry Candidates having...
- [About the Role] Join our dynamic team in Lexington, KY, as a Data Analyst II. In this hybrid contract position, you'll work onsite during training, then transition to a flexible schedule. You'll play a pivotal role in transforming raw data into actionable insights that...Contract workWork at officeFlexible hours
- Holiday by Atria in Lexington, KY is seeking an experienced Office Manager to oversee the community's finances, payroll, and day-to-day business office operations. You will lead budgeting efforts, manage accounts receivable/payable, and hire and train staff while ensuring...Work at office
- Job Title Duties The following are the duties of this position at the full working level. If this vacancy includes more than one grade and you are selected at a lower grade level, you will have the opportunity to learn to perform these duties and receive training...
$4,326.92 per month
...Applicants: Please submit your application through our online portal by our deadline: September 27, 2026 for consideration. The Summer Analyst Program The Summer Analyst Program at Cornerstone Research is an eight-week experience that takes place during the summer...Full timeSummer workCasual workInternshipH1bLocal areaImmediate startVisa sponsorship$30 per hour
...Store, Oracle Software Delivery Cloud, License Key Provisioning and internal distribution of Employee Laptops. Customer Service analysts deliver service and support that represents the highest level of customer service and quality. To do this, the analyst will:...Hourly payTemporary workWork experience placementInternshipWorldwideFlexible hours- ...financial reporting within a complex business environment. Strong knowledge of cash forecasting, working capital management, and treasury activities is essential, as is experience in strategic planning and profitability analysis. The role requires the ability to build...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Analyst I. Be the first to apply!





