This position is no longer accepting applications
Closed on April 18, 2026.
Interim Senior Treasury Analyst
Senior
Analyst
Automation
Cash Forecasting
Cash Management
Contract
Hybrid
Interim
Internal Controls
Manufacturing
Process Improvement
Treasury
Treasury Management
Treasury Operations
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Job Description
Position Details
Contract role: Interim Senior Treasury Analyst. Location: Hybrid remote in Oak Brook, IL (onsite three days per week).
Key Responsibilities
- Oversee day-to-day treasury operations to fulfill the organization's financial commitments, covering payments processing, cash flow management, intercompany activities, external debt, share repurchases, and capital management.
- Manage the cash forecasting process by coordinating with internal teams such as FP&A, Raw Materials, Accounting, Sales, Tax, and project engineers to gather required information.
- Drive process improvements and automation in global cash management, evaluating efficiency through multi-company netting and potential cash pooling structures.
- Provide support to internal customers in Accounting, Shared Services (AP/AR/Payroll/Vendor Maintenance), FP&A, Tax, and other groups on issues related to payment processing, file handling, and overall treasury processes and procedures.
- Serve as a backup for day-to-day Treasury Analyst activities, ensuring timely and accurate completion of daily tasks and supporting skill development within the role.
- Assist in managing the Treasury Management System to ensure timely and accurate daily file transmissions and effective cash management operations.
- Document and maintain treasury policies and procedures.
- Support the Assistant Treasurer in managing global cash operations, including project management and delivery of cross-functional business initiatives.
- Contribute to other projects and assignments as needed.
Qualifications & Requirements
- 5+ years of experience in Treasury Operations or Cash Management.
- Strong proficiency in MS Office, especially Excel and PowerPoint (an Excel assessment will be administered).
- Extensive experience configuring and working with Treasury Management Systems.
- Knowledge of cash forecasting models and the transactional payment and receivables processes.
- Solid understanding of bank agreement structures, accounting, and financial statement analysis.
- Experience developing and implementing internal control systems.
- Ability to make quick, effective decisions, identify problems, and think creatively and strategically.
- Ability to work under pressure and meet established guidelines.
- Excellent written and verbal communication skills, with the ability to convey technical information clearly across various teams and external parties.
- Comfortable in a fast-paced environment, with the capability to multi-task and manage competing priorities.
If you or someone you know is interested, please apply today.
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