Treasury Analyst
$80k - $90kEnergy Distribution Partners
Energy Distribution Partner Chicago, IL 60606, USA Description Why This Role Matters Every dollar flowing through the business passes through Treasury and getting it right keeps the company operating smoothly, paying employees on time, and making smart financial decisions. In this role, you’ll own the accuracy of cash data and help transform it into insights that leadership relies on daily. You won’t just reconcile numbers, you’ll build the foundation for how the company manages liquidity and growth. What You’ll Be Responsible For Cash Accounting & Month-End Close Prepare and post journal entries for cash activity, intercompany transfers, and treasury transactions Complete bank and cash account reconciliations and resolve discrepancies within the monthly close timeline Investigate unusual transactions, timing differences, and unreconciled items with Accounting and business partners Support payroll-related close activities, including accruals, reclassifications, and benefit funding entries Ensure all cash-related activity is recorded accurately and aligns with accounting policies Treasury Operations Monitor daily bank activity and track cash balances across accounts Support daily cash reporting and movement tracking across banking platforms Assist with bank account administration, user access controls, and documentation Support internal controls over cash movement and payment oversight Provide documentation and support for audits related to treasury processes Growth into Treasury Partner closely with the Director of Treasury to learn cash positioning and liquidity management Assist with treasury reporting, variance analysis, and forecasting support Contribute to process improvements that increase visibility into cash and reduce manual work Build working relationships with FP&A, Accounting, AP, Payroll, and Operations teams What Success Looks Like In your first 90 days: You independently complete bank reconciliations with minimal reconciling items outstanding You meet close deadlines consistently and flag issues early with clear root‑cause analysis You’re comfortable navigating the ERP and banking platforms to track and explain cash activity You begin contributing ideas to improve reconciliation efficiency or reporting clarity What You’ll Actually Do in Your First 30 Days Take ownership of a subset of bank reconciliations and complete them alongside a teammate Learn the close calendar and support journal entries for cash and payroll‑related activity Shadow daily cash reporting and begin preparing basic cash summaries Review prior reconciliations to understand common discrepancies and how they were resolved Requirements Must Have 2–5 years of experience in accounting, finance, or a similar role Hands‑on experience with bank reconciliations and month‑end close processes Ability to prepare and post journal entries accurately Working experience in an ERP system Nice to Have Degree in Accounting, Finance, or related field Exposure to treasury, cash accounting, or cash reporting Experience working with multiple entities or locations Familiarity with banking platforms or treasury tools Experience supporting audits or internal controls Location: Onsite, Chicago office Pay: $80,000-$90,000 + 10% Bonus (depending on experience) We offer competitive pay and a comprehensive benefits package designed to support you and your family, including: Medical, dental, and vision insurance (multiple plan options) Health Savings Account (HSA) and Flexible Spending Account (FSA) 401(k) with company match Paid holidays and time off Company‑paid $50,000 basic life/AD&D and long‑term disability coverage Voluntary supplemental life, AD&D, short‑term disability, and EAP Company Culture We’re a team that values clear communication, ownership, and follow‑through, you’ll always know what you’re responsible for and who you can rely on. We take the work seriously, but not ourselves; people here are approachable, collaborative, and invested in helping each other grow. Equal Opportunity Employer This employer is required to notify all applicants of their rights pursuant to federal employment laws.For further information, please review the Know Your Rights notice from the Department of Labor. #J-18808-Ljbffr Energy Distribution Partners
$65k - $75k
...Job Summary Cresco Labs is seeking a Treasury Analyst to join our corporate finance team in Chicago, IL. This entry-level role is an excellent opportunity for a motivated finance professional to gain hands‑on experience in treasury operations within a dynamic, fast‑growing...SuggestedPermanent employmentFull timePart timeInternship$80k - $90k
...is seeking a Cash Accountant. The role involves ensuring the accuracy of cash data, handling bank reconciliations, and supporting treasury operations. Candidates should have 2–5 years of relevant experience, familiarity with journal entries, and ERP systems. This position...Suggested- ...A privately held, growing organization is seeking a Senior Treasury Analyst to join its finance team in Chicago. This is a high-impact, individual contributor role supporting liquidity management, bank relationships, cash forecasting, financing activities, and debt compliance...SuggestedTemporary work
$22 - $34 per hour
...opportunity to join a growing, community and client-focused company that is firmly rooted in its core values. Responsibilities The Treasury Management Analyst (TMA) role will be partnered with the Treasury Management Consultant (TMC) and focused on developing strategies for...Suggested$80k - $110k
Our client, a mission-driven research and nonprofit organization, is seeking a Senior Investment & Treasury Analyst to join their Finance Department, supporting the Treasury and Investment Operations teams. The ideal candidate will have strong analytical skills, attention...Suggested$87.39k - $115.8k
Sr. Treasury Analyst (Hybrid) Chicago, IL This is a hybrid position reporting to our Chicago office, requiring three days a week in the office. The role performs treasury accounting, cash management, liquidity forecasting, and financial analysis responsibilities to help...Temporary workWork at office3 days per week- Curis Services is seeking a detail-oriented Treasury Associate to join our dynamic finance team in Lincolnwood, Illinois. This role supports the treasury department in managing cash flow, investments, and financial risk. The ideal candidate will have strong analytical...
$140.03k
## Senior Treasury Liquidity AnalystApplyremote type: Officelocations: Chicago, ILtime type: Full timeposted on: Posted Todaytime left... ...R0073488# **Description****Job Title** Sr. Treasury Liquidity Analyst**Organization Name**: The Huntington National Bank**Job Location...Work at officeRemote workWork from homeFlexible hours- Huntington National Bank is looking for a Sr. Treasury Liquidity Analyst in Chicago to support the Liquidity Regulatory Reporting team. The role involves preparation and reporting of Liquidity reports and metrics, along with variance analysis and reconciliation tasks....Remote job
- Cresco Labs is looking for a motivated Treasury Analyst to join our team in Chicago. This position offers entry-level finance professionals the chance to gain valuable experience in treasury operations. You will assist in cash management, maintain banking relationships...
- Invenergy LLC in Chicago is hiring a Treasury Analyst to support cash management and treasury operations. The role involves daily monitoring of bank transactions, assisting in cash forecasting, and managing banking relationships. Ideal candidates have a bachelor's degree...
$83.3k - $95.9k
About Team/Role WEX is seeking a proactive professional to join the Treasury Team as a Treasury Analyst 3 in Portland, Maine. This role is designed for an individual with established treasury experience who can independently manage core operational workflows while mentoring...Temporary workFlexible hours- The Bank of Montreal located in Chicago is seeking a talented individual to manage client relations and provide specialized treasury product solutions. The ideal candidate will have 4-6 years of experience in the financial services sector, demonstrating strong deal execution...
$105k - $120k
Antares Capital LP in Chicago is looking for a Senior Treasury Analyst to oversee cash management operations related to credit facilities and collateralized loan obligations (CLO). Responsibilities include managing structured facilities, building cash flow models, preparing...- Rival is seeking a Senior Treasury Analyst to support cash and liquidity management in a hybrid role. You will lead compliance with NFA and CFTC requirements while enhancing treasury operations. The ideal candidate will have a Bachelor’s degree and over 5 years of experience...Remote job
$80k - $90k
EDP in Chicago is looking for a Cash Accountant to manage cash data accuracy and transform it into valuable insights for leadership. You will handle bank reconciliations, cash reporting, and support month-end activities. The ideal candidate should have 2-5 years of experience...$60k - $77k
Invenergy, LLC located in Chicago is seeking a Treasury Analyst to enhance treasury operations across its global business. This role involves cash management, banking relationships, and short-term forecasting. The ideal candidate will possess a Bachelor's degree in Finance...Temporary work- Cresco Labs Inc. is seeking a Treasury Analyst to join our finance team in Chicago, IL. This entry-level position offers hands-on experience in treasury operations. Responsibilities include cash management, banking relationship support, and reporting. The ideal candidate...
$17k - $24k
...focused on providing consumers with simple and secure access to buy and sell cryptocurrency. Reporting to the Treasury Manager/Corporate Treasurer, the Treasury Analyst will support CoinFlip in managing global banking relationships and treasury administration, including...Full time- Marex Group in Chicago is seeking a Treasury Analyst for its Fall 2026 US Graduate Program. This role involves managing liquidity, funding, and cash flow while supporting core treasury functions. Candidates must hold a relevant degree and be legally authorized to work...
- Cresco Labs is looking for a Treasury Analyst to join their corporate finance team in Chicago, IL. This entry-level position offers hands-on experience in treasury operations and cash management. Ideal candidates are highly organized and detail-oriented. The role involves...
- Invenergy is looking for a Treasury Analyst to support its core treasury operations in Chicago. The role involves managing cash operations, banking relationships, and forecasts. The ideal candidate will contribute to key financial decision-making and support various financial...
$85k - $100k
Cushman & Wakefield is seeking a Senior Treasury Analyst in Chicago to support the Corporate Treasury organization and execute various capital markets activities. This role requires analytical capabilities, a strong understanding of financial accounting, and excellent...$55k - $65k
...innovation. Experience #LifeatRealChem. Job Summary Real Chemistry has a newly created role on our growing Treasury Team and we are seeking an experienced Senior Treasury Analyst to join as we expand our department to support company growth. This role will provide operational...Temporary workWork experience placementWork at officeLocal areaWorldwide- The Hispanic Alliance for Career Enhancement seeks a motivated individual for a role focused on providing treasury product solutions and building client relationships. This role requires managing complex client inquiries and sales processes within the Energy and Metals...
- CoinFlip is seeking a Treasury Analyst in Chicago, Illinois, to support the management of global banking relationships and treasury functions. You will handle liquidity management, risk assessments, and maintain accurate financial records. The ideal candidate will have...
- Huntington Bancshares, Inc. is seeking a Sr. Treasury Liquidity Analyst to support the Liquidity Regulatory Reporting team. The ideal candidate will have expertise in liquidity regulatory reporting, regulatory compliance, and relevant financial analysis. Located in Chicago...Remote jobWork at office
$120k - $145k
Summary This newly created Senior Treasury Analyst position will play a key role in strengthening Topstep’s treasury function and enhance visibility into cash, liquidity, and working capital across the organization. Reporting into the Senior Director of Financial Operations...Full timeLocal areaRemote work$85k - $100k
Overview The Treasury department at Cushman & Wakefield helps the company maximize shareholder value by delivering the appropriate finance solutions to our businesses. The Senior Treasury Analyst, Capital Markets has broad responsibilities, including support for interest...Minimum wageWork at officeFlexible hours$55k - $65k
Real Chemistry is seeking a Senior Treasury Analyst to join their Treasury Team in Lambertville, NJ. This role focuses on cash and liquidity management, bank account management, and treasury operations. Candidates should have a Bachelor’s degree in finance or a related...
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