Treasury Analyst
Kansas City, MO · On-site
Description The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role ...
Kansas City, MO · On-site
Description The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role ...
Kansas City, MO · On-site
Description The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role ...
Kansas City, MO · On-site
The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role supports working ...
Quick apply
Kansas City, MO · On-site
The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role supports working ...
Kansas City, MO · On-site
The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role supports working ...
Kansas City, MO · On-site
The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role supports working ...
Clayton, MO · On-site
$67K/yr
As a Treasury Analyst, you will perform detailed analysis and provide specialized reporting to senior management that will optimize financial planning and decision making. In this role you will:
Clayton, MO · On-site
$67K/yr
As a Treasury Analyst, you will perform detailed analysis and provide specialized reporting to senior management that will optimize financial planning and decision making. In this role you will:
$67K/yr
As a Treasury Analyst, you will perform detailed analysis and provide specialized reporting to senior management that will optimize financial planning and decision making. In this role you will:
$67K/yr
As a Treasury Analyst, you will perform detailed analysis and provide specialized reporting to senior management that will optimize financial planning and decision making. In this role you will:
The Sr Treasury Analyst ensures the company complies with legal and debt obligations and analyzes and reports on any unexpected changes in cash balances or overall cash transactions. This position ...
The Sr Treasury Analyst ensures the company complies with legal and debt obligations and analyzes and reports on any unexpected changes in cash balances or overall cash transactions. This position ...
Kansas City, MO · On-site
The Sr Treasury Analyst ensures the company complies with legal and debt obligations and analyzes and reports on any unexpected changes in cash balances or overall cash transactions. This position ...
Kansas City, MO · On-site
The Sr Treasury Analyst ensures the company complies with legal and debt obligations and analyzes and reports on any unexpected changes in cash balances or overall cash transactions. This position ...
Osage Beach, MO · On-site +1
$85K - $100K/yr
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
Osage Beach, MO · On-site +1
$85K - $100K/yr
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
The Treasury & Finance Analyst supports the Bank's Treasury and Finance functions through balance sheet analytics, Asset Liability Management (ALM), liquidity management, funding, capital planning ...
Saint Louis, MO · On-site
Lead treasury function ... Cash flow management and analysis * Liquidity strategies * Investment policies, strategies
New
Saint Louis, MO · On-site
Lead treasury function ... Cash flow management and analysis * Liquidity strategies * Investment policies, strategies
New
... Analyst II independently transforms Treasury Management data into actionable insights and delivers reporting solutions that support operational performance, product strategy, and decision-making.
... Analyst II independently transforms Treasury Management data into actionable insights and delivers reporting solutions that support operational performance, product strategy, and decision-making.
... Analyst II independently transforms Treasury Management data into actionable insights and delivers reporting solutions that support operational performance, product strategy, and decision-making.
... Analyst II independently transforms Treasury Management data into actionable insights and delivers reporting solutions that support operational performance, product strategy, and decision-making.
Saint Louis, MO · On-site
$90K - $105K/yr
The Treasury Management is responsible for the strategic oversight and operational management of ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Saint Louis, MO · On-site
$90K - $105K/yr
The Treasury Management is responsible for the strategic oversight and operational management of ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Saint Louis, MO · On-site
The Treasury Management is responsible for the strategic oversight and operational management of ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Quick apply
Saint Louis, MO · On-site
The Treasury Management is responsible for the strategic oversight and operational management of ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Saint Louis, MO · On-site
The position will develop and implement treasury strategies that support long-term financial ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Saint Louis, MO · On-site
The position will develop and implement treasury strategies that support long-term financial ... Strong analytical, strategic thinking, and leadership skills * Excellent communication and ...
Saint Louis, MO · On-site
$75K/yr
... analyzing data * Monitor liquidity levels and escalate potential cash needs or discrepancies ... Support treasury controls and help ensure compliance with internal policies and procedures * Assist ...
Saint Louis, MO · On-site
$75K/yr
... analyzing data * Monitor liquidity levels and escalate potential cash needs or discrepancies ... Support treasury controls and help ensure compliance with internal policies and procedures * Assist ...
$65K - $75K/yr
... analyzing data * Monitor liquidity levels and escalate potential cash needs or discrepancies ... Support treasury controls and help ensure compliance with internal policies and procedures * Assist ...
Quick apply
$65K - $75K/yr
... analyzing data * Monitor liquidity levels and escalate potential cash needs or discrepancies ... Support treasury controls and help ensure compliance with internal policies and procedures * Assist ...
They will also be responsible for the oversight, analysis, and reconciliation of treasury-related balance sheet accounts, ensuring transactions are properly recorded, reconciled, and investigated ...
They will also be responsible for the oversight, analysis, and reconciliation of treasury-related balance sheet accounts, ensuring transactions are properly recorded, reconciled, and investigated ...
Reporting & Analysis * Deliver treasury, liquidity, and capital structure reporting that equips senior leadership and ownership with clear insight into financial position and strategic options.
Reporting & Analysis * Deliver treasury, liquidity, and capital structure reporting that equips senior leadership and ownership with clear insight into financial position and strategic options.
$32.4K - $40.5K
4% of jobs
$40.5K - $48.6K
8% of jobs
$55.5K is the 25th percentile. Wages below this are outliers.
$48.6K - $56.8K
15% of jobs
$56.8K - $64.9K
15% of jobs
The median wage is $69.6K / yr.
$64.9K - $73.1K
14% of jobs
$73.1K - $81.2K
15% of jobs
$84.1K is the 75th percentile. Wages above this are outliers.
$81.2K - $89.4K
13% of jobs
$89.4K - $97.5K
8% of jobs
$97.5K - $105.7K
6% of jobs
$105.7K - $113.8K
2% of jobs
$113.8K - $121.9K
0% of jobs
$32.4K
$73.9K
$121.9K
A treasury analyst tracks a company’s financial actions, paying close attention to credit, cash flow, income, and liquid assets. As a treasury analyst, you examine company business plans, budgets, expenses, and future investments to determine if the company’s money is being utilized properly. You ensure that all treasury and financial statements are balanced and accounted for, identify discrepancies, and suggest ways to improve processes or increase savings. Because you deal with the company’s assets, confidentiality is vital to this position.
| Aspect | Treasury Analyst | Financial Analyst |
|---|---|---|
| Certifications | CPA, CFA, Treasury certifications | CFA, CPA, or related finance certifications |
| Work Environment | Corporate treasury, banking, finance departments | Investment firms, corporate finance, consulting |
| Primary Focus | Cash management, liquidity, risk management | Financial modeling, budgeting, investment analysis |
| Employer & Industry Usage | Banking, large corporations, financial institutions | Corporations, investment banks, consulting firms |
While both roles involve finance expertise, Treasury Analysts focus on managing a company's liquidity, cash flow, and financial risks, often within corporate treasury departments. Financial Analysts typically analyze financial data, create reports, and support investment decisions. The roles share certifications and work environments but differ in their core responsibilities and focus areas.
The most popular types of Treasury Analyst jobs in Missouri are:
For Treasury Analyst jobs in Missouri, the most frequently searched job titles are:
The top searched job categories for Treasury Analyst jobs in Missouri are:
Cities in Missouri with the most Treasury Analyst job openings:
For Treasury Analyst jobs in MO, the most frequently searched job titles are:

Kansas City, MO • On-site
Full-time
Posted 24 days ago
Description
The Treasury Analyst is responsible for managing daily cash operations, liquidity forecasting, banking relationships, debt administration, and treasury-related reporting. This role supports working capital optimization across numerous operating yards, ensuring armored carrier and internal replenishment of cash at retail scrap purchasing facilities and ATMs. The Treasury Analyst records daily cash transactions while maintaining strong internal controls and compliance with company policies.
Requirements
Cash Management and Treasury Operations
Track and manage daily cash positions and liquidity across unrelated financial
institutions, multiple bank accounts, entities, and states.
Ensure sufficient liquidity is available to fund daily scrap purchases, freight
costs, payroll, and vendor payments.
Ensure all cash transactions are timely recorded to the ERP and reconciled
against expectations, including external transactions and intercompany
transactions.
Analyze cash inflows and outflows and identify trends and patterns through
data analysis for use in rolling cash flow models and forecasts.
Coordinate with yard managers and regional operations personnel regarding
banking and cash requirements.
Banking Administration
Serve as primary point-of-contact for treasury and debt banking partners.
Ensure retail scrap purchasing locations have adequate, but not excessive,
cash and ATM availability for local scrap purchases, understanding
denominations required by location and coordinating and scheduling with bank
vaults and armored carrier services.
Maintain treasury management systems and online banking platforms.
Complete ACH and wire transmissions using dual control in conjunction with
accounts payable personnel.
Complete remote desktop deposit processing and reporting.
Maintain administration of credit facility, term loans, equipment loans and
other financing arrangements.
Maintain covenant reporting calendar and facilitate timely covenant reporting
with lending partners.
Coordinate annual bank examinations and equipment, real estate, inventory
and other appraisals.
Forecasting and Modeling
Prepare daily cash and liquidity reporting.
Assist in the development, preparation and maintenance of short and long-term cash forecasts, rolling cash flow models and annual budgets.
Analyze actual financial results against budgeted and forecasted figures,
identifying, and explaining key variances.
Partner with operations, accounting, and procurement teams to improve
forecast accuracy.
Analyze long-term and short term cash sources and uses to provide
recommendations for cash movements between banks, institutions and
accounts.
Reporting and Presentation
Serve internal partners through preparation of treasury reports, presentations,
and dashboards.
Provide daily cash receipts reporting to commercial and receivables personnel.
Communicate with third parties regarding bank information while adhering to
appropriate separation of responsibilities controls.
Develop and monitor key performance indicators (KPIs) and provide insights
into variances, trends, and potential risks or opportunities through clear and
concise reports, highlighting KPIs relevant to treasury operations, offering key
findings and actionable insights.
Risk Management
Assist with insurance renewals and treasury-related risk assessments.
Assist with supplier, vendor and customer insurance reporting, including
monitoring for expirations and communicating with vendors and customers as
necessary.
Support commodity-related risk management and hedging policies.
Continuous Improvement and Internal Control
Stay updated on industry trends, regulations, tools, and best practices in
banking, treasury management, financial analysis and reporting.
Ensure compliance with company treasury policies and internal controls.
Support fraud prevention initiatives including positive pay, ACH controls, and
account monitoring.
Identify process improvements and implement streamlined methodologies to
enhance efficiency, accuracy and internal control over treasury services.
Create and implement detective controls, monitoring controls and exception
reporting using proprietary systems, third party systems, worksheets, data
warehouses and other systems.
QUALIFICATIONS
Education
Bachelor's degree in finance, economics, accounting, business administration
or related field.
Experience and Skills
2+ years of treasury, finance, accounting or cash management experience.
Strong analytical skills with the ability to gather, interpret, and analyze
financial data.
Experience in a multi-location corporate environment with multiple banking
relationships.
Ability to understand large sets of data, extracting it from various systems,
analyzing it and presenting findings.
Advanced knowledge of Microsoft Excel and other MS Office applications.
Key Competencies
Excellent written and verbal communication skills with the ability to present
information effectively.
Ability to work independently as well as collaboratively in a team environment,
with a mentality that no job is too big or too small if it benefits the Company
and team.
Ability to learn and adapt to internal and third-party systems such as ERPs,
operational systems, banking portals and data warehouses.
Strong problem-solving skills and the ability to think strategically.
Detail-oriented with a focus on accuracy and documentation, with a
commitment to meeting deadlines.
Ability to express ideas clearly and concisely using appropriate mediums (for
example, face-to-face, e-mail, and presentations), listen effectively,
demonstrate understanding, and clarify meaning for others.
Ability to analyze, define, diagnose, and resolve problems based on sound logic
and rationale.
Ability to interact cooperatively and collaboratively with others as a team,
including those holding divergent and/or opposing views and goals.
Is always courteous and professional to team members both inside and outside
of the Company.
Highly organized and professional.
Ability to learn quickly and adapt easily to change.
Work well with others in a fast-paced, non-stop environment.
Flexibility to changing work conditions, assignments, and schedules.
Flexibility to work evenings or weekends if projects or workload requires.
SAFETY & PHYSICAL REQUIREMENTS
Strictly adhere to all Health, Safety, and Environmental standards.
Follow all safety guidelines and protocol, including wearing all PPE.
Adhere to all local, state, OSHA, and environmental regulations.
Walk and stand for extended periods of time; walk and stand on uneven
surfaces; ascend and descend multiple stairs multiple times per day.
Communicate by speech and hear audible warning signals.
Visual acuity is needed for computer utilization and operational visits.
Be able to lift, carry, push, pull, or otherwise move objects of fifty pounds or
more.
ADDITIONAL INFORMATION
Full-time, exempt position
In-office role, located in Kansas City, MO
Travel: 0-10% or as needed
We are an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age, disability, protected veteran status, or any other characteristic protected by law.
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