LHH

LHH

Treasury Analyst

Melville, New York, USFull-time$75k - $95k/YEAR2 days agovia LinkedIn

Job description

Position Title: Treasury Analyst

Location: Melville, Long Island, NY (Hybrid)

Industry: Manufacturing

We are seeking a detail-oriented Treasury Analyst to join a growing manufacturing organization. In this role, you will play a key part in managing the company’s cash position, supporting liquidity planning, and ensuring efficient treasury operations. This position offers the opportunity to work closely with leadership and cross-functional teams to optimize cash management, strengthen financial controls, and support strategic financial decision-making.

What You’ll Be Doing:
• Monitor daily cash balances across multiple bank accounts to ensure adequate liquidity for operational needs
• Prepare and maintain short- and long-term cash flow forecasts to support financial planning and working capital management
• Execute treasury transactions including wires, ACH payments, and bank transfers while maintaining proper documentation and controls
• Perform bank reconciliations and investigate variances in partnership with the accounting team
• Assist with banking relationship management, account maintenance, and treasury-related documentation
• Support debt and financing activities by tracking loan balances, payment schedules, and covenant requirements
• Analyze cash activity and working capital trends to identify opportunities for improved liquidity management
• Contribute to process improvements within treasury operations, reporting, and internal controls

What We’re Looking For:
• Bachelor’s degree in Finance, Accounting, or a related field
• Approximately 3–6 years of experience in treasury, corporate finance, or accounting
• Industry experience within manufacturingis strongly preferred
• Exposure to Accounts Receivable processes or working capital management
• Advanced Excel skills, including financial modeling, pivot tables, and data analysis
• Experience working within multi-bank environments or across multiple banking platforms
• Strong understanding of cash flow forecasting and liquidity management
• Excellent written and verbal communication skills with the ability to work cross-functionally

Please send your resume (in Word format) to Steven.Mas@lhh.com for immediate consideration.

Not the perfect match? Let’s stay connected. We’re recruiting for a variety of finance and accounting roles across other sectors.

Equal Opportunity Employer/Veterans/Disabled

To read our Candidate Privacy Information Statement, which explains how we will use your information, please navigate to https://www.lhh.com/us/en/candidate-privacy

Responsibilities

  • In this role, you will play a key part in managing the company’s cash position, supporting liquidity planning, and ensuring efficient treasury operations
  • This position offers the opportunity to work closely with leadership and cross-functional teams to optimize cash management, strengthen financial controls, and support strategic financial decision-making
  • Monitor daily cash balances across multiple bank accounts to ensure adequate liquidity for operational needs
  • Prepare and maintain short- and long-term cash flow forecasts to support financial planning and working capital management
  • Execute treasury transactions including wires, ACH payments, and bank transfers while maintaining proper documentation and controls
  • Perform bank reconciliations and investigate variances in partnership with the accounting team
  • Assist with banking relationship management, account maintenance, and treasury-related documentation
  • Support debt and financing activities by tracking loan balances, payment schedules, and covenant requirements
  • Analyze cash activity and working capital trends to identify opportunities for improved liquidity management
  • Contribute to process improvements within treasury operations, reporting, and internal controls

Qualifications

  • Bachelor’s degree in Finance, Accounting, or a related field
  • Approximately 3–6 years of experience in treasury, corporate finance, or accounting
  • Exposure to Accounts Receivable processes or working capital management
  • Advanced Excel skills, including financial modeling, pivot tables, and data analysis
  • Experience working within multi-bank environments or across multiple banking platforms
  • Strong understanding of cash flow forecasting and liquidity management
  • Excellent written and verbal communication skills with the ability to work cross-functionally
  • Please send your resume (in Word format) to Steven.Mas@lhh.com for immediate consideration

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