Corporate Treasury Analyst

Twin Disc, Incorporated

  • Milwaukee, WI
  • 30+ days ago
    Want to know if you’re a fit?
    Upload your resume and let our AI show you.

    Skills

    • Accountingunmatched
    • Analysis Skillsunmatched
    • Automationunmatched
    • Bank Managementunmatched
    • Banking Operationsunmatched
    • Banking Servicesunmatched
    • Brokerageunmatched
    • Cash Flowunmatched
    • Cash Managementunmatched
    • Communication Skillsunmatched
    • Compensation and Benefitsunmatched
    • Continuous Improvementunmatched
    • Corporate Financeunmatched
    • Cross-Functionalunmatched
    • Data Modelingunmatched
    • Detail Orientedunmatched
    • Documentationunmatched
    • ERP (Enterprise Resource Planning)unmatched
    • Facilities Managementunmatched
    • Financeunmatched
    • Financial Analysisunmatched
    • Financial Modelingunmatched
    • Financial Operationsunmatched
    • Financial Planning and Analysis (FP&A)unmatched
    • Financial Policiesunmatched
    • Financial Riskunmatched
    • Financial Risk Managementunmatched
    • Forecastingunmatched
    • Foreign Exchange (FX)unmatched
    • Fundingunmatched
    • Hedge Fundsunmatched
    • Insuranceunmatched
    • Insurance Claimsunmatched
    • Interest Ratesunmatched
    • International Operationsunmatched
    • Leadershipunmatched
    • Liquidityunmatched
    • Loansunmatched
    • Maintain Complianceunmatched
    • Manufacturingunmatched
    • Market Trend Analysisunmatched
    • Microsoft Excelunmatched
    • Multitaskingunmatched
    • Operational Auditunmatched
    • Operational Supportunmatched
    • Organizational Skillsunmatched
    • Performance Metricsunmatched
    • Problem Solving Skillsunmatched
    • Process Improvementunmatched
    • Process Managementunmatched
    • Relationship Managementunmatched
    • Reporting Dashboardsunmatched
    • Riskunmatched
    • Risk Analysisunmatched
    • Risk Managementunmatched
    • SEC Filingsunmatched
    • Sales Managementunmatched
    • Stock Marketunmatched
    • Strategic Planningunmatched
    • Transaction Processing/Managementunmatched
    • Treasuryunmatched
    • Treasury Managementunmatched
    • Willing to Travelunmatched

    Description

    Position Overview

    We are seeking a detail-oriented and analytical Corporate Treasury Analyst to support our treasury operations and enterprise risk management initiatives within a dynamic, U.S.-based manufacturing environment.

    This role plays a key part in ensuring strong liquidity management, maintaining robust banking relationships, supporting financial risk mitigation strategies, and contributing to enterprise risk and insurance programs. The ideal candidate will bring a blend of technical treasury knowledge, analytical capability, and cross-functional collaboration.

    Key Responsibilities

    Cash Management & Banking Operations

    • Perform daily cash positioning and monitor global liquidity across multiple bank accounts
    • Manage and maintain domestic and international bank accounts and related documentation
    • Support payment execution processes and resolve transaction exceptions
    • Assist with banking relationship management and service optimization

    Cash Forecasting & Liquidity Planning

    • Develop and maintain short- and long-term cash flow forecasts across global operations
    • Analyze forecast variances and collaborate with FP&A to improve forecast accuracy
    • Provide insights into working capital trends and liquidity optimization opportunities
    • Support strategic liquidity planning and funding decisions

    Debt & Treasury Reporting

    • Assist in managing credit facilities, including borrowings and covenant compliance tracking
    • Prepare regular treasury reports, dashboards, and key performance indicators (KPIs)
    • Support internal and external reporting requirements, including audit and lender requests
    • Contribute to SEC filing support as needed

    Financial Risk Management

    • Monitor foreign exchange (FX) and interest rate exposures across business units
    • Support development and execution of risk mitigation strategies, including hedging activities
    • Maintain documentation related to financial risk policies and compliance
    • Analyze market trends and provide recommendations on risk positioning

    Enterprise Risk & Insurance

    • Support annual insurance renewal process, including coordination with brokers and internal stakeholders
    • Track insurance claims and assist with documentation and resolution processes
    • Maintain enterprise risk registers and reporting frameworks
    • Assist in identifying and evaluating operational risks across the organization

    Process Improvement & Systems

    • Identify and implement improvements to treasury processes and internal controls
    • Support treasury management system (TMS) enhancements and integrations
    • Drive automation and efficiency initiatives within treasury operations

    Qualifications

    Required

    • Bachelor’s degree in Finance, Accounting, or a related field
    • Minimum of 2 years of experience in treasury, finance, or related function
    • Strong proficiency in Microsoft Excel (financial modeling, data analysis, reporting)
    • Excellent analytical, problem-solving, and organizational skills
    • Strong attention to detail and commitment to accuracy
    • Effective communication skills with the ability to work cross-functionally

    Preferred

    • Certified Treasury Professional (CTP) designation or progress toward certification
    • Experience in a manufacturing or global operating environment
    • Exposure to FX risk management, hedging instruments, or insurance programs
    • Familiarity with treasury management systems (TMS) and ERP systems

    Key Competencies

    • Financial and analytical acumen
    • Risk awareness and control mindset
    • Ability to manage multiple priorities in a fast-paced environment
    • Strong collaboration and stakeholder management skills
    • Continuous improvement and problem-solving orientation

    Additional Information

    • Limited travel may be required to support treasury operations and business initiatives
    • Competitive compensation and benefits package
    • Opportunity to grow within a strategic finance function

    Why Join Us?

    Join a growing organization where treasury plays a strategic role in financial operations and risk management. This position offers hands-on exposure to global cash management, financial markets, and enterprise risk initiatives, providing a strong foundation for career growth in corporate finance and treasury leadership.

    Equal Opportunity Employer

    Twin Disc is an Equal Opportunity and Affirmative Action Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity or expression, age, national origin, veteran status, disability, genetic information, or any other protected status under applicable law.

    We are committed to fostering a diverse and inclusive workplace and encourage all qualified individuals to apply.

    Powered by JazzHR

    Numbers & Facts

    LocationMilwaukee, WI

    Similar Jobs

    See more jobs