Treasury Analyst
Group 1 Auto
About Us Group 1 Automotive, Inc. (NYSE: GPI) is a Fortune 250 leader in global automotive retail, operating more than 250 dealerships and collision centers across the United States and United Kingdom. As the 4th largest dealership group in the U.S., Group 1 delivers a fully integrated automotive experience, including vehicle sales, financing, aftersales service, and digital retail solutions. As the automotive industry continues to evolve, Group 1 is investing in the people, technology, and operational excellence needed to shape what comes next. Our work is grounded in a simple belief, that a better experience for customers starts with an exemplary experience for employees. At Group 1, our commitment is to keep finding smarter ways to serve our customers and support one another. We believe great careers are built in environments where people are trusted, challenged, and given room to grow. If you share our core values of integrity, transparency, professionalism, teamwork, and respect, you can get more with Group 1. More opportunity. More support. More ways to build a career that moves you forward. 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
- 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
- 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
- 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
- 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
Vacancy posted 2 days ago
Similar jobs that could be interesting for youBased on the Treasury Analyst in Houston, TX vacancy
- ...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
$40 - $45 per hour
...About This Role 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...SuggestedPermanent employmentContract work- ...Job Title: Treasury Analyst Location: Houston, TX Duration: Long Term Contract Summary: We are looking for a skilled Treasury Analyst with over 4 years of experience to join our finance team in Houston. This long-term contract role is vital for managing...SuggestedLong term contract
- ...information is available at Connect with NRG on Facebook, Instagram, LinkedIn and X. Job Summary: The NRG Treasury team is seeking an energetic senior analyst to support the Treasury Operations function. The ideal candidate will have a keen interest in Treasury and...SuggestedTemporary workWork at officeShift work
- Apache Corporation is seeking a detail-oriented Treasury Analyst in Houston, Texas. The role involves supporting daily cash management, overseeing the corporate credit card program, and ensuring compliance with financial policies. The ideal candidate will have a Bachelor...Suggested
$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- RGP (Resources Connection) is seeking a high-performing Treasury Analyst in Houston, Texas. This position reports directly to C-suite executives and involves managing cash positioning, preparing treasury reports, and supporting bank account administration. The ideal candidate...Contract work
- Group 1 Automotive is hiring a Treasury Analyst in Houston, Texas. The role focuses on supporting daily cash management activities and optimizing liquidity in a fast-paced treasury environment. The ideal candidate will have a Bachelor's degree in Finance or Accounting,...
- We are seeking a Treasury Analyst, with accounting background to join a dynamic, multi-entity organization. This is a hands‑on, high‑visibility role supporting daily cash management, debt tracking, and financial operations across three operating divisions: Food & Beverage...Work at office
- EXECUTIVE PERSONNEL SERVICES INC is seeking a skilled Treasury Analyst for a long-term contract in Houston, TX. The ideal candidate will have over 4 years of experience and will be responsible for managing cash flow, maintaining banking relationships, and conducting financial...Long term contract
- We are seeking a detail-oriented Treasury Analyst to support daily cash management activities while also overseeing the administration of the company’s corporate credit card program. This role plays a key part in optimizing liquidity, ensuring compliance with financial...Temporary work
- Nrg Bluewater Wind in Houston is recruiting a Senior Analyst for the Treasury Operations team. The candidate will manage cash operations including daily cash processes, investments, and banking relationships. This role requires 5+ years of treasury experience, strong MS...
- StevenDouglas is seeking a Treasury Analyst for an interim position in West Houston, with potential for a permanent role. The role involves handling daily cash management, creating treasury reports, and managing bank accounts. The ideal candidate will have at least 2 years...Permanent employmentInterim role
- 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...
- Lincoln Group is looking for a Treasury Analyst in Houston, Texas, to support daily cash management and financial operations across various divisions. The ideal candidate will have an accounting background and experience in cash management. Responsibilities include monitoring...Work at office
- 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 public...Permanent employmentContract work
- U.S. Bank is seeking a Treasury Management Sales Support role in Houston, Texas. This position serves as a key contact for Treasury Management customers, offering essential support and insights to enhance client engagement. The successful candidate will have strong analytical...Flexible hours
$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- NRG Energy is seeking an energetic Senior Analyst to support Treasury Operations in Houston, TX. The successful candidate will handle daily cash management and contribute to continuous learning within the Treasury team. This hybrid role requires 5+ years of experience in...
- 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
- Itlearn360 is seeking a senior analyst to support the Treasury Operations function in Houston, TX. This role involves daily cash management, Treasury Management Workstation maintenance, and investment management. The ideal candidate will possess a Bachelor's Degree and...Work at officeRemote work
- 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...
- ...Half are working with a publicly held client in the City Centre area on the west side of Houston. Company is looking to add a Treasury Analyst to the team. This person will be heavily involved with cash management. One of the key questions that will be asked will be...
$81.52k - $95.9k
## Treasury Management Sales AnalystApplylocations: Houston, TX: Dallas, TX: Chicago Heights, IL: Kansas City, MOposted on: Posted Todaytime left to apply: End Date: June 29, 2026 (19 days left to apply)job requisition id: 2026-0016402At U.S. Bank, we’re on a journey to...Temporary workWork experience placementWork at officeLocal areaRemote workFlexible hours3 days per week- U.S. Bank is hiring a Treasury Management Sales Analyst based in Houston, TX. This role involves direct client support, analyzing needs, and assisting in revenue-generating activities within Treasury Management. The successful candidate will have a Bachelor's degree in...Work at office3 days per week
- The Woodlands Specialty Hospital in Houston is seeking a Treasury Accountant Analyst to ensure financial stability and oversee critical cash management tasks. This role focuses on cash forecasting, detailed bank reconciliations, and ACH processing while supporting payroll...
- ...Treasury Accountant Analyst The Treasury Accountant/Analyst plays a vital role in ensuring the financial stability and operational integrity of a payroll processing company. This individual is primarily responsible for accurate cash forecasting, comprehensive bank reconciliations...Temporary workWork at officeLocal area
- JPMorgan Chase & Co. is looking for a Banking/Treasury Analyst in Houston, Texas. This role involves supporting bankers and treasury officers with client management, financial modeling, and business development. You'll participate in a rotational program to enhance your...Rotational program
- ...: CFO / Principal / Comptroller --- Role Overview We are looking for a detail-oriented and financially sharp Treasury & Finance Operations Analyst to own daily treasury, cash, and finance operations across a multi-entity real estate portfolio. This role sits at the...For contractorsRemote work
- INSPYR Solutions in Houston, Texas is seeking a Treasury & FP&A Analyst to support treasury operations, liquidity management, and financial reporting activities. This role requires monitoring cash flow, analyzing financial performance, and providing insights that drive...
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Treasury Analyst. Be the first to apply!


