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Risk Management Treasury Analyst Jobs (NOW HIRING)

Liquidity & Debt Management * Support daily cash positioning, target-balance management, and ... Consistently looks for opportunities to reduce manual effort and key-person risk. * Discretion:

Treasury Analyst

San Diego, CA · On-site

$65K - $75K/yr

Description: The Treasury Analyst is a key member of the Corporate Treasury team, supporting ... risk management, and corporate card programs. The ideal candidate will possess strong ...

Treasury Analyst

San Diego, CA · On-site

$65K - $75K/yr

Description The Treasury Analyst is a key member of the Corporate Treasury team, supporting ... Support administration of the company's banking, insurance, risk management, lender, and corporate ...

Treasury Analyst

San Diego, CA · On-site

$65K - $75K/yr

The Treasury Analyst is a key member of the Corporate Treasury team, supporting treasury operations ... Support administration of the company's banking, insurance, risk management, lender, and corporate ...

Treasury Analyst

San Diego, CA · On-site

$65K - $75K/yr

Working closely with the Treasurer and Senior Treasury Analyst, this role assists with payment ... risk management, and corporate card programs. The ideal candidate will possess strong ...

The Treasury Analyst is responsible for supporting the organization's treasury functions, including ... Knowledge of investment accounting, debt administration, or financial risk management concepts.

Treasury Analyst

Bloomington, MN · On-site

$32.31 - $48.47/hr

The Treasury Analyst is responsible for supporting the organization's treasury functions, including ... Knowledge of investment accounting, debt administration, or financial risk management concepts.

Treasury Analyst - South Fulton, GA Contract / Temporary Position Why This Opportunity Stands Out ... Hands-on treasury role with exposure to cash management and banking activities * Opportunity to ...

We're looking for a Senior Treasury Analyst to own daily cash management and liquidity operations ... of corporate cash management, treasury operations, interest rate risk, and core financial ...

The Treasury Analyst is responsible for supporting the organization's treasury functions, including ... Knowledge of investment accounting, debt administration, or financial risk management concepts.

The Treasury Analyst is responsible for system/processing of data for Asset-Liability Management (ALM), bank funding, interest rate risk management, and ALCO process, etc. A focus of this role will ...

Opportunity to expand treasury and cash management experience * Great fit for professionals available to start quickly Key Responsibilities As the Treasury Analyst, you will: * Monitor daily cash ...

The Treasury Analyst is responsible for system/processing of data for Asset-Liability Management (ALM), bank funding, interest rate risk management, and ALCO process, etc. A focus of this role will ...

Treasury Analyst Department: Planning & Budget Reports to: Director, Planning & Budget Job Status ... Supports the University's liquidity, financial risk management, and funding needs by monitoring ...

Risk Management Support: * Assist in monitoring and reporting on treasury-related financial risks ... Strategic & Analytical Skills: * Ability to analyze financial data and provide insights to senior ...

Showing results 41-60

Risk Management Treasury Analyst information

See salary details

$36.5K

$82.3K

$138K

How much do risk management treasury analyst jobs pay per year?

As of Sep 13, 2026, the average yearly pay for risk management treasury analyst in the United States is $82,330.00, according to ZipRecruiter salary data. Most workers in this role earn between $62,500.00 and $90,500.00 per year, depending on experience, location, and employer.

What is the difference between Risk Management Treasury Analyst vs Treasury Analyst?

AspectRisk Management Treasury AnalystTreasury Analyst
Primary FocusAssessing and mitigating financial risks, including market, credit, and liquidity risksManaging daily cash flow, banking relationships, and short-term funding
Required SkillsRisk assessment, financial modeling, compliance knowledgeCash management, banking operations, financial analysis
CertificationsFRM, CFA often preferredCPA, CFA beneficial but less common
Work EnvironmentFinancial institutions, corporate treasury departmentsCorporate finance, banking, or investment firms

The Risk Management Treasury Analyst primarily focuses on identifying and mitigating financial risks within an organization, often requiring risk-specific certifications like FRM or CFA. In contrast, the Treasury Analyst handles daily cash operations and banking relationships. Both roles are vital in corporate finance but differ in their core responsibilities and skill sets.

What cities are hiring for Risk Management Treasury Analyst jobs?

Cities with the most Risk Management Treasury Analyst job openings:

What states have the most Risk Management Treasury Analyst jobs?

States with the most job openings for Risk Management Treasury Analyst jobs include:

What are popular job titles related to Risk Management Treasury Analyst jobs?

For Risk Management Treasury Analyst jobs, the most frequently searched job titles are:

Senior Treasury Analyst

Ontario, CA • On-site

Gold Star Foods
Transportation and Warehousing • 201 - 500 employees

$120K/yr

Full-time

Re-posted 6 hours ago


Key responsibilities

  • Prepare and maintain weekly cash flow forecasts, including gathering inputs, building models, and producing weekly roll-forwards.

  • Analyze and report on working capital performance, including DSO, DPO, DIO, and cash conversion cycle, and support initiatives to optimize working capital.

  • Support daily cash positioning, funding disbursement accounts, and compile inputs for covenant compliance.


Gold Star Foods rating

6.9

Company rating: 6.9 out of 10

Based on 11 frontline employees who took The Breakroom Quiz


Job description

COMPANY OVERVIEW

GS Foods Group is a leading specialty food distributor serving customers nationwide, with a primary focus on K-12 schools and other specialized end markets. With nineteen distribution facilities across the country, GS Foods and its subsidiaries are committed to providing high-quality products, dependable service, and innovative solutions to the communities and customers we serve.

POSITION SUMMARY

GS Foods is seeking a Senior Treasury Analyst to support Treasury and Accounting administrative functions across all locations nationwide for the private equity-backed GS Foods Group, Inc. and its subsidiaries (“GS Foods” or the “Company”).

Based in Ontario, California, this position will play a key role in cash forecasting and analytics, working capital management, liquidity and debt management, treasury operations, controls, and process improvement. The Senior Treasury Analyst will partner closely with the Corporate Treasurer and other Finance stakeholders to strengthen treasury processes, enhance analytical capabilities, and support the continued growth of the organization.

ESSENTIAL DUTIES AND RESPONSIBILITIES

Cash Forecasting & Analytics

  • Prepare the weekly 13-week direct-method cash flow forecast across all operating entities in partnership with the Corporate Treasurer, including gathering and validating inputs, building the collections waterfall and disbursement timing, and producing the weekly roll-forward.
  • Maintain and continuously improve the forecast model by strengthening mechanics, reducing manual effort, and recommending refinements to methodology and assumptions.
  • Prepare forecast-to-actual variance analysis by decomposing variances by driver, including collections timing, AP timing, and revolver activity.
  • Track forecast accuracy over time and identify insights that can strengthen future forecasting assumptions.
  • Build and run scenario and sensitivity analyses, including base, downside, and stress scenarios, quantifying liquidity headroom under each.
  • Explicitly model the seasonal back-to-school working capital build and summer trough.
  • Safeguard model integrity by designing forecast logic and toggles that are auditable and fail visibly rather than silently.

Working Capital & Business Analytics

  • Analyze and report on working capital performance, including DSO, DPO, DIO, and the cash conversion cycle across entities.
  • Incorporate the seasonal K-12 business cycle into working capital analysis and provide entity-level comparability within a roll-up environment.
  • Maintain strong working knowledge of working capital drivers and effectively explain what is impacting receivables, payables, and inventory and how each translates into cash.
  • Support the identification of working capital opportunities, including collections acceleration and payment-term optimization.
  • Quantify the cash impact of potential working capital initiatives to support leadership and sponsor discussions.

Liquidity & Debt Management

  • Support daily cash positioning, target-balance management, and funding of disbursement accounts.
  • Compile inputs for covenant compliance, including leverage and fixed-charge coverage.
  • Proactively identify and flag potential covenant headroom risks.

Leadership & Mentorship

  • Serve as a technical resource and mentor to the Treasury Analyst, sharing forecasting, analytics, and process knowledge to strengthen the overall capability of the team.
  • Set the standard for analytical rigor and process discipline by modeling strong documentation, automation, and control practices.
  • Help build and improve treasury processes and training as the function scales, including contributing to procedures and cross-training initiatives.

Banking, Controls & Integration

  • Support bank account administration, online banking platform management, and entity-level account structure.
  • Maintain treasury SOX controls and related documentation.
  • Support month-end treasury close activities.

REQUIRED COMPETENCIES

  • Analytical Rigor: Comfortable owning the numbers and defending the assumptions behind them.
  • Ownership Mindset: Thrives in a build-from-scratch environment with evolving processes.
  • Clear Communication: Able to translate treasury analysis for finance and non-finance audiences alike, including sponsor and advisory stakeholders.
  • Process Automation Instinct: Consistently looks for opportunities to reduce manual effort and key-person risk.
  • Discretion: Handles sensitive financial and banking information with sound judgment.

Salary: $120,000.00 + 10% Bonus

WORKING CONDITIONS AND PHYSICAL DEMANDS:

This position will be in an office setting at a desk equipped with computer, monitors, phone, and other applicable resources/equipment. It will require the applicant to routinely sit, stand, stoop, kneel, crouch, and bend for up to 8 hours. Position requires the occasional lifting of objects up to 10lbs.

The physical demands described here are representative of those that must be met by an employee to successfully perform the essential functions of this job. Reasonable accommodations may be made to enable individuals with disabilities to perform the essential functions.

Other Duties:

Please note this job description is not designed to cover or contain a comprehensive listing of activities, duties or responsibilities that are required of the employee for this job. Duties, responsibilities and activities may change at any time with or without notice.

EOE M/W/Vet/Disabled

All of the above duties and responsibilities are essential job functions subject to reasonable accommodation. All job requirements listed indicate the minimum level of knowledge, skills and/or ability deemed necessary to perform the job proficiently. This job description is not to be construed as an exhaustive statement of duties, responsibilities or requirements as the employee may be required to perform any other duties as assigned. In the event of an absence where the Staff Accountant cannot perform these duties, the manager will determine who will perform these duties.


TITLE: Senior Treasury Analyst


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