Global Treasury & Cash Forecasting Analyst

Weber

Palatine (IL)

Hybrid

USD 75,000 - 84,000

Full time

4 days ago
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Benefits offered by this job

Medical coverage
Dental coverage
Vision coverage
Life Insurance
Disability Insurance
EAP
401(k) match
Paid time off

Job summary

Weber is seeking a Treasury Analyst in Palatine, IL to join the Corporate Treasury team. The role focuses on cash management, forecasting, and financial analyses to support management and investors. Hybrid in-office work is required at the Palatine campus.

Ideal candidates have 1–3 years in Finance, strong Excel/PowerPoint skills, and ability to work with a global team. SAP experience is preferred, with opportunities to impact working capital and treasury operations.

Qualifications

  • BS/BA in Finance, Accounting or Economics.
  • 1–3 years in Accounting or Finance; Treasury experience preferred.
  • Advanced Excel and PowerPoint; SAP preferred.
  • Strong communication and ability to work with global teams.

Responsibilities

  • Support cash management 및 cash operations analysis and forecasting.
  • Oversee banking infrastructure, online banking systems, and payments.
  • Track FBAR, manage corporate card and travel programs.
  • Provide ad hoc Treasury analyses for CFO and management.

Skills

Excel
PowerPoint
Financial Modeling
SAP
Analytical Thinking
Communication

Education

BS/BA in Finance, Accounting or Economics

Tools

SAP

Job description

Weber is seeking a Treasury Analyst in Palatine, IL to join the Corporate Treasury team. The role focuses on cash management, forecasting, and financial analyses to support management and investors. Hybrid in-office work is required at the Palatine campus.

Ideal candidates have 1–3 years in Finance, strong Excel/PowerPoint skills, and ability to work with a global team. SAP experience is preferred, with opportunities to impact working capital and treasury operations.

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