Senior Treasury Analyst — Optimize Cash & ERP Automation

LHH Recruitment Solutions

Dallas (TX)

On-site

USD 85,000 - 130,000

Full time

16 hours ago
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Benefits offered by this job

Work-life balance

Job summary

LHH Recruitment Solutions seeks a Senior Treasury Analyst to join a growing Dallas organization. The role will oversee daily cash operations across multiple entities, improve cash forecasting, ERP workflows, treasury reporting, and automation.

The ideal candidate has 5+ years in treasury, accounting, or financial systems, with advanced Excel skills and hands-on ERP experience. Knowledge of multi-entity cash management and GL accounting is highly valued.

Qualifications

  • Bachelor's degree required in accounting, finance, business, or related field.
  • 5+ years in treasury, accounting, or financial systems.
  • Advanced Excel plus automation and financial reporting experience.
  • Knowledge of multi-entity cash management and GL accounting.
  • ERP migration/integration and commercial real estate experience preferred.

Responsibilities

  • Oversee daily cash activity across multiple entities, including reconciliations.
  • Prepare daily cash forecasts and optimize liquidity and positioning.
  • Support ERP processes and connect GL data with treasury systems.
  • Improve and automate treasury workflows, forecasting tools, and reporting.
  • Prepare journal entries and support month-end cash activities.
  • Coordinate quarterly investor distributions and related documentation.
  • Partner with banks on account openings, funding activity, and issue resolution.
  • Ensure accurate records and transaction documentation.

Skills

Advanced Excel
Analytical skills
Communication skills
Organizational skills

Education

Bachelor's degree in Accounting, Finance, Business, or related field

Tools

ERP systems
Trovata
Airtable

Job description

LHH Recruitment Solutions seeks a Senior Treasury Analyst to join a growing Dallas organization. The role will oversee daily cash operations across multiple entities, improve cash forecasting, ERP workflows, treasury reporting, and automation.

The ideal candidate has 5+ years in treasury, accounting, or financial systems, with advanced Excel skills and hands-on ERP experience. Knowledge of multi-entity cash management and GL accounting is highly valued.

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