Onsite Hybrid in Chicago
Job Purpose:
Treasury Analyst will be responsible for analyzing and managing daily bank balances and liquidity across operating, investment, and statutory accounts, ensuring effective cash flow management, accurate accounting and reporting, and efficient execution of treasury activities to support organizational financial stability and decision-making. The ideal candidate brings deep treasury experience, strong analytical skills, and the ability to translate complex financial data into meaningful insights. This position requires a solid understanding of industry best practices as well as the company s internal processes, systems, and applications.
Key Responsibilities
Required Job Qualifications: