Treasury Analyst: Cash Flow, Banking Ops & Reporting

BMH

Southfield (MI)

On-site

USD 65,000 - 90,000

Full time

14 days+
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Job summary

BMH in Michigan is seeking a Treasury Analyst to support daily cash management, reconciliations, and reporting. You will work with the Treasury Director and finance teams to ensure accurate cash positioning, banking operations, and strong internal controls.

Ideal candidates have 1–3 years in treasury or related fields, with a bachelor’s degree in finance or accounting and proficiency in Excel and TMS/ERP platforms.

Qualifications

  • Bachelor's degree in Finance, Accounting, or related field required.
  • Progress toward CTP or CPA certification a plus.
  • 1-3 years of experience in treasury, corporate finance, accounting, or banking.
  • Experience with bank reconciliations, cash reporting, or payment processing.
  • Experience within equipment distribution, manufacturing, construction, dealership, industrial services, or related industries a plus.
  • Strong attention to detail and accuracy in financial data entry and reporting.

Responsibilities

  • Monitor daily cash positions across all company bank accounts and report findings to the Treasury Director.
  • Prepare and support regular cash flow reports and assist with short-term and long-term cash forecasting.
  • Process and review wire transfers, ACH transactions, and other electronic payments in accordance with treasury policies and internal controls.
  • Perform daily bank reconciliations and research and resolve discrepancies in a timely manner.
  • Assist with maintaining and monitoring positive pay systems and other fraud prevention controls.
  • Support administration of corporate banking platforms and treasury management systems (TMS), including user access, reporting, and troubleshooting.
  • Assist in tracking debt compliance requirements, covenant calculations, and lender reporting deadlines.
  • Compile treasury-related data, reports, and dashboards to support management and executive reporting needs.
  • Assist with month-end, quarter-end, and year-end treasury reporting and reconciliations in coordination with the Accounting team.
  • Support maintenance of banking documentation, signer authorizations, and account records.
  • Help monitor working capital metrics and identify opportunities to improve cash conversion and liquidity.
  • Assist with treasury audits and provide documentation in response to auditor requests.
  • Identify opportunities to streamline treasury processes and improve reporting accuracy and efficiency.
  • Maintain confidentiality of all financial and Company information.
  • Perform other duties and responsibilities as assigned.

Skills

Attention to detail
Analytical thinking
Communication skills

Education

Bachelor's degree in Finance, Accounting, or related field
CTP/CPA certification in progress a plus

Tools

Treasury Management Systems (TMS)
ERP systems
Online banking platforms
Microsoft Excel

Job description

BMH in Michigan is seeking a Treasury Analyst to support daily cash management, reconciliations, and reporting. You will work with the Treasury Director and finance teams to ensure accurate cash positioning, banking operations, and strong internal controls.

Ideal candidates have 1–3 years in treasury or related fields, with a bachelor’s degree in finance or accounting and proficiency in Excel and TMS/ERP platforms.

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