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Closed on August 23, 2026.
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Finance & Treasury Specialist
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Job Description
Join NABRICO Marine Products as a Finance & Treasury Specialist on site in Ashland City, TN. This role offers the chance to help stand up and run our finance operations, with a clear focus on treasury, financial reporting, risk management, tax coordination, and accounting processes. Be part of building a solid financial foundation for a growing organization and collaborate closely with site leadership to enable informed decision making.
Responsibilities
- Execute daily treasury activities including bank account monitoring and reconciliations
- Execute daily treasury activities including Positive Pay review and exception handling
- Execute daily treasury activities including Wire and ACH payment processing
- Assist in developing and documenting treasury procedures and controls
- Provide support for financial reporting and internal management reporting
- Assist with forecasting and cash flow planning (as processes are established)
- Support risk management activities, including insurance and exposure tracking
- Respond to ad hoc financial analysis requests from leadership
- Coordinate tax-related support activities, including gathering and organizing data for external partners
- Assist with SOX controls and audit-related requests
- Provide backup support for accounting operations (including Ashland City site needs)
- Support system implementations and testing for finance and accounting platforms
- Assist in maintaining and updating accounting policies and procedures
- Help track compliance requirements and documentation
- Support finance and accounting administrative processes
- Assist in building scalable workflows and documentation as the organization evolves
- Partner with operations and site leadership as needed to support business needs
Requirements
- Bachelor's degree in Finance, Accounting, or related field
- 2 to 7 years of experience in finance, treasury, or accounting roles
- Experience with treasury operations (cash management, banking platforms, payments) preferred
- Exposure to tax support, audit, or SOX environments is a plus
- Strong attention to detail and ability to manage multiple priorities
- Experience working in a manufacturing or multi-site environment preferred
- Systems experience (ERP, banking platforms, or financial systems) strongly preferred
- Strong work ethic
- Operational execution – able to manage daily financial processes with accuracy
- Ownership mindset – takes initiative in a build environment
- Analytical thinking – able to support financial insights and decision-making
- Collaboration – works effectively across finance, accounting, and operations
- Adaptability – thrives in a fast-paced, evolving environment
Technology
ERP systems experience is preferred to support finance and accounting operations.
Why this role matters
Day to day treasury operations keep cash flowing and risks in check, while supporting compliance and audit readiness. You will help build the financial infrastructure for a newly independent organization and reduce leadership workload by delivering scalable, reliable processes as the company grows.