2

Remote Treasury Analyst Jobs in Ohio (NOW HIRING)

Sr Financial Analyst II

Westerville, OH ยท On-site +1

$70K - $115K/yr

Review and approve remote sites month-end close * Facilitate the development of monthly forecasts and annual budgets for assigned sites; approve site submissions and provide feedback * Analyze the ...

New

... client's treasury management related functions. The PM will work closely with Nitor clients ... The PM will also provide services in baseline and data analysis, market research, strategy ...

... treasury, and legal to ensure the company's tax position is optimized and compliant across ... Responsible for tax research and analysis to support tax planning initiatives, acquisitions ...

Showing results 21-40

Remote Treasury Analyst information

What are the key skills and qualifications needed to thrive as a remote treasury analyst?

To excel as a Remote Treasury Analyst, you need strong analytical abilities, in-depth knowledge of finance and accounting, and a bachelor's degree in finance, accounting, or a related field. Familiarity with treasury management systems (such as Kyriba or SAP), financial modeling tools, and relevant certifications like CTP (Certified Treasury Professional) are highly valued. Exceptional attention to detail, self-motivation, and effective virtual communication skills are standout soft skills. These qualifications are crucial for accurately managing cash flow, assessing financial risks, and collaborating with remote teams in a fast-paced corporate environment.

What is a remote treasury analyst?

A Remote Treasury Analyst is a finance professional responsible for managing an organization's cash flow, liquidity, and financial risk, all while working from a remote location. Their duties typically include monitoring bank accounts, analyzing financial data, forecasting cash needs, and ensuring compliance with company policies and regulations. They often collaborate with internal teams and external banking partners to optimize cash management strategies. Strong analytical skills, attention to detail, and proficiency with financial software are essential for success in this role.

What are some common challenges faced by remote treasury analysts, and how can they be addressed?

Remote Treasury Analysts often encounter challenges such as coordinating cash management tasks across multiple time zones and maintaining secure, real-time communication with internal teams and external banking partners. To overcome these, it's important to be proactive in setting clear deadlines, leverage collaborative digital tools, and regularly schedule virtual meetings with stakeholders. Building strong organization and time management habits can also help ensure efficiency and accuracy in daily work. Successful analysts quickly adapt to different systems and build trust through reliable and transparent communication, which helps keep treasury operations running smoothly.

What are the most commonly searched types of Treasury Analyst jobs in Ohio? The most popular types of Treasury Analyst jobs in Ohio are:
What are popular job titles related to Remote Treasury Analyst jobs in Ohio? For Remote Treasury Analyst jobs in Ohio, the most frequently searched job titles are:
What job categories do people searching Remote Treasury Analyst jobs in Ohio look for? The top searched job categories for Remote Treasury Analyst jobs in Ohio are:
What cities in Ohio are hiring for Remote Treasury Analyst jobs? Cities in Ohio with the most Remote Treasury Analyst job openings:
Infographic showing various Remote Treasury Analyst job openings in Ohio as of August 2026, with employment types broken down into 100% Full Time. Highlights an 100% Remote job distribution.

Sr Financial Analyst II

DPDHL

Westerville, OH โ€ข On-site, Remote

$70K - $115K/yr

Full-time

Medical, Dental, Vision, PTO

Posted 3 days ago

New


Job description

The Sr Financial Analyst II role has a national salary range of $70,000 - $115,000.

For roles within California the range is $70,304 - $115,000. and Washington is $80,169 - $115,000.

DHL Supply Chain offers multiple benefits including Medical, Dental, Vision, Prescription, Discounted Stock Purchase, General Bonus Plan and a generous PTO policy.


Would you like to join the Logistics Company for the World? DHL Supply Chain is just that.

Become an essential part of everyday life, by contributing to an organization that is Connecting People and Improving Lives. If you have a passion for people, a desire to problem-solve, and eagerness to pursue continuous improvement opportunities... we look forward to exploring career possibilities with you!


Job Description

The purpose of this role is to provide financial and commercial oversight, with some guidance, to a portfolio of remote operating sites governed by unique commercial agreements and varying customers. This includes month-end close support, profit and loss analysis, balance sheet approval, forecast and budget review, and completing ad hoc financial analysis to control expenses and aid in the improvement of financial performance. This position has daily interaction with operational sites and interacts with the Senior Operators, Accounting, Procurement, Business Development and Engineering departments.

Responsibilities

Financial Oversight

  • Review and approve remote sites month-end close
  • Facilitate the development of monthly forecasts and annual budgets for assigned sites; approve site submissions and provide feedback
  • Analyze the financial performance of assigned sites and provide explanation of significant variances in performance against budget and forecast.
  • Train and develop of site managers in sound commercial and financial processes
  • Review sites working capital position with a focus on outstanding accounts receivable and help resolve collection issues and monitor customer financial condition
  • Develop site targets in support of the business unit annual budget
  • Complete the monthly management reporting to include the trading document, corporate consolidation reporting, new business reporting, corporate commentary, etc.
  • Validate accounting controls and policies are applied appropriately
  • Certify balance sheet reconciliations
  • Develop risk assessment techniques and understandings of Revenue streams and key controls to develop a control framework to prevent leakage
  • Participate in the interviewing and selection process of OBAs at the site


Commercial Support

  • Provide financial support and analysis to Business Development and Operations teams in the development of commercial proposals
  • Develop and present competitive pricing scenarios to the pursuit team considering capital investment and financial hurdles
  • Prepare and manage approval process for all contract renewals and new business awards
  • Actively influence ongoing decisions regarding site financial and commercial risks
  • Review and approve capital expenditures for new business including financing method (buy vs. lease)
  • Liaison with Purchasing, Real Estate, Contract Administration and Operating teams to ensure that commercial and financial risks and exposures are highlighted
  • Build and apply control experience across portfolio of business to predict, avoid and protect current earnings, future forecasts, and growth strategies
  • Actively participate in leveraging strategy details and resource allocation to support implementation by partnering with executive teams; establish priorities, strategic growth direction and cost initiatives


Operational Support

  • Drive site start-ups for billing, labor tracking, capex approval, start-up spend and operational site budgets
  • Develop and monitor profit improvement plans for underperforming sites
  • Identify opportunities for improvement of site financial performance and leverage over portfolio


People Management

  • Provide financial direction to dotted-line reports (General Managers) to effectively oversee a portfolio of remote sites governed by unique commercial agreements
  • Build and maintain a positive relationship with your internal and external team
  • Serve as an interface between site operations and other functional teams to ensure effective operational and commercial support
  • Performs other duties as assigned


Required Education and Experience

  • Bachelor's Degree in business, economics, finance or accounting or equivalent 4 years work experience, required
  • 3+ years experience within the finance or accounting industry, required
  • 1+ years of Commercial Finance experience, required
  • Logistics industry experience, preferred
  • Public accounting experience, preferred
  • Advanced accounting knowledge: P&L and balance sheet
  • Effective communication skills; verbal & written
  • Ability to collaborate with stakeholders at all levels; team player
  • Strong analytical and problem-solving skills
  • Strong attention to detail
  • Advanced financial skillset; budgeting, forecasting and analysis
  • Ability to influence business decisions with peers
  • Effective project and time management
  • Advanced PC skill proficiency in MS Office; excel and *PowerPoint
  • Basic presentation skillset
  • Basic contracts understanding
  • Willingness to travel


Our Organization is an equal opportunity employer.