Treasury Analyst

Nortek Data Center Cooling

Oklahoma City (OK)

On-site

USD 90,000 - 140,000

Full time

14 days+

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Job summary

Nortek Data Center Cooling in Oklahoma City is seeking a Cash Lead / Treasury Manager to own daily cash management across the shared services model, including cash positioning, forecasting, bank portal administration, cash forecasting, bank reconciliations, related close support, and leadership of recurring cash calls.

This role is critical to maintain visibility over daily liquidity, support timely disbursements, drive alignment on short-term funding needs and priorities, and strengthen audit

Qualifications

  • Bachelor’s degree in accounting, finance, or related field with 4+ years in treasury or cash management.
  • Experience with bank portals, payment platforms, and treasury workflows.
  • Strong understanding of cash flow, reconciliations, and financial statements.
  • Hands-on in internal controls, SOX-style controls, and cross-functional collaboration.

Responsibilities

  • Prepare and maintain daily cash position and near-term liquidity planning.
  • Coordinate payment execution within dual-approval workflows.
  • Administer bank portals, user access, and audit-ready documentation.
  • Create short-term cash forecasts and liaise with AP/AR and stakeholders.
  • Lead recurring cash calls and align on funding priorities.
  • Perform or coordinate bank reconciliations and resolve reconciling items.
  • Improve cash application, timing, and subledger health with teams.
  • Support month-end close with reconciliations and reporting.
  • Ensure treasury controls and bank governance meet audit standards.
  • Identify process improvements to enhance visibility and discipline.

Skills

Cash management
Forecasting
Bank reconciliations
Internal controls
SOX controls
Excel

Education

Bachelor’s Degree in Accounting or Finance

Tools

Infor Cloud ERP
Banking platforms
Cash forecasting tools

Job description

Nortek Data Center Cooling builds the systems that keep modern data centers running — from liquid cooling to large-scale air solutions. Our work supports some of the world’s most demanding AI and hyperscale environments, and we solve those challenges with engineering depth and practical execution. We keep things simple here. We communicate early, stay close to the details, and follow through. When issues come up, we address them directly, not with layers of process. Customers count on us because we do what we say and we keep projects moving. Our culture is hands-on and collaborative. People take ownership, move quickly, and help each other. If you like working with teammates who are straightforward and accountable, you’ll feel at home. With the backing of Madison Air, we have the scale, stability, and manufacturing footprint to support complex, high-growth programs.

Position Summary

The Cash Lead / Treasury Manager will own day-to-day cash management activities across the shared services model, including cash positioning, payment execution support, bank portal administration, cash forecasting, bank reconciliations, related close support, and leadership of recurring cash calls. This role is critical to maintain visibility over daily liquidity, support timely and controlled disbursements, drive alignment on short-term funding needs and priorities, and strengthen audit readiness as the organization scales. The position partners closely with the CFO, VP of FP&A, Corporate Controller, AP and AR leads, plant accounting teams, and operational stakeholders across OKC and Dyersburg to ensure strong control execution, clear escalation of issues, and reliable cash reporting.

Responsibilities
  • Prepare and maintain the daily cash position, including visibility to available cash, expected inflows and outflows, and near-term liquidity needs.
  • Coordinate payment execution activities within established approval workflows, ensuring all disbursements follow dual-approval and segregation-of-duties requirements.
  • Administer bank portal access, user maintenance, and supporting documentation in coordination with management and IT, with a focus on least-privilege access and audit readiness.
  • Prepare short-term cash forecasts and partner with AP, AR, HR and business stakeholders to understand timing of major receipts, disbursements, and operational cash needs.
  • Lead recurring cash calls, coordinate discussion of near-term liquidity needs and payment priorities, and align stakeholders on funding requirements, timing considerations, and follow-up actions.
  • Perform or coordinate timely bank reconciliations, investigate reconciling items, and drive aged exceptions to resolution with clear ownership and follow-up.
  • Partner with the AP Lead, AR Lead, and plant accounting teams to improve cash application, payment timing, unapplied cash resolution, and overall subledger health.
  • Support month-end close activities related to cash, including reconciliations, reporting, and escalation of unusual items or control issues.
  • Monitor compliance with treasury-related controls, including payment approvals, bank account governance, and documentation standards for internal and external audit support.
  • Identify process improvement opportunities that increase visibility, standardization, and discipline across cash management activities without weakening controls.
  • Provide controlled backup support and participate in cross-training plans to strengthen continuity while maintaining clear role ownership and review responsibilities.
Position Key Attributes
  • Has high integrity, exercises sound judgment, and consistently operates with a strong control mindset.
  • Takes ownership of critical daily processes and follows through on issues until they are resolved.
  • Balances urgency and responsiveness with discipline, documentation, and compliance with approval requirements.
  • Communicates clearly across finance, operations, and leadership, especially when escalating exceptions, delays, or control concerns.
  • Comfortable working in a fast-paced environment with changing priorities, high wire volume, and time sensitive decisions.
  • Understands that continuity, standardization, and segregation of duties must work together to create a scalable and audit-ready process.
Requirements
  • Bachelor’s Degree in Accounting, Finance, or a related field. Minimum of 4+ years of experience in treasury, cash management, accounting, or a related finance role.
  • Experience with bank portals, online payment platforms, and treasury-related workflows, including payment controls and user access administration.
  • Strong understanding of cash flow, bank reconciliations, disbursement cycles, and the relationship between the income statement, balance sheet, and cash flow.
  • Working knowledge of internal controls, audit support expectations, and segregation-of-duties principles within a shared services or multi-site environment. Advanced Excel skills and strong attention to detail, with the ability to organize large data sets and produce accurate, actionable reporting. Strong problem-solving and communication skills, with the ability to escal**ate** issues clearly and work cross-functionally to resolve exceptions.
  • Ability to manage competing priorities, meet daily, weekly and monthly deadlines, and operate eAectively in a fast-paced environment.
  • Experience in manufacturing, shared services, or a multi-entity environment is preferred.
  • Hands-on experience with the systems listed below is a plus: o Infor Cloud ERP systems and banking platforms used for cash activity, reconciliations, and reporting o Advanced Excel, including reconciliations, cash forecasting models, and reporting tools
  • Experience working with bank reconciliations, payment files, and treasury reporting tools o Exposure to internal audit, SOX-style controls, or controlled shared services environments is a plus
Why This Role
  • High-impact treasury role with direct ownership of daily cash visibility, payment discipline, and liquidity support
  • Opportunity to build scalable treasury processes across cash positioning, forecasting, bank governance, and disbursement controls
  • Close partnership with the CFO, VP of FP&A, Corporate Controller to improve visibility and execution across the cash cycle
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