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Treasury Analyst, Accounting

Job in Effingham, Effingham County, Illinois, 62401, USA
Listing for: Heartland Dental
Full Time position
Listed on 2026-07-03
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting
Job Description & How to Apply Below
Treasury Analyst, Accounting

Heartland Dental is the nation's largest dental support organization, providing non-clinical administrative support services to more than 3,000 supported doctors across 39 states and the District of Columbia in over 1,900 dental offices. Each Heartland Dental supported office is unique to the community and the patients they serve. Supported doctors are the leaders of their practice and retain clinical autonomy. All Heartland Dental supported Doctors are united by a common goal: delivering the highest quality dental care and experiences to the communities they serve.

Due to rapid growth over the last six years and anticipated growth over the next three to five years, Heartland Dental must add to its financial team. We need an individual who is forward thinking, customer service centric and can help us support the treasury department with identifying and implementing best practices. The near-term responsibilities are cash and risk management of the company, including management of all bank accounts, daily cash positions, wire transfers, cash flow forecasting, and production of various financial reports.

We are seeking an individual who can grow with Heartland Dental and expand their capabilities.

Heartland Dental proudly supports 1800+ dental offices and more than 20,000 team members across the country. We are hard-working, fun-loving and fast-growing - looking for our next perfect fit! To give you an idea of the team structure, you will work on a team with 3 other individuals, reporting to the Treasury Manager.

Below is an overview of the duties and responsibilities you would take on in this role:

* Perform a variety of analytical duties in support of the Treasury Team; evaluate cash position and make recommendations on investments; analyze cash flow to determine cash position.

* Prepare, analyze, evaluate, and interpret financial statements and investment reports.

* Perform accounting, financial reporting, handle numerical data, and perform calculations with attention to detail.

* Prepare weekly and monthly cash forecasts and share with Manager and Director as required.

* Partner with Manager to prepare monthly billing of bank fees and analyze customer service to offices via the usage of Heartlink.

* Utilize and maintain expertise in the Treasury Management System.

* Maintain and update bank account authorized signers lists to ensure proper access is obtained at all times.

* Quarterly review and analysis of bank accounts that need to be closed or moved through collaboration with the Revenue Team.

* Partner and facilitate relationships with external vendors to ensure quality service to our offices that we support.

* Collaborate with internal partners to provide reporting.

* Research and analyze data in multiple platforms.

* Provide world class service by facilitating and completing bank and office requests via Heartlink.

* Facilitate document execution and retention.

* Maintain master lists to be used as data sources.

* Complete additional projects as assigned.

Minimum Requirements:

* Must be able to report to Effingham Support Office at least once a month.

* At least an associate's degree and 1+ years of experience in treasury, banking, cash management or 1+ year previous experience in an accounting or auditing capacity

* Knowledge of wire and ACH transfers

* Knowledge of bank processes and regulations, including familiarity with bank portals and systems

* Excellent written and verbal skills with the ability to communicate effectively within and outside the organization

* Ability to build strong relationships

* Strong organizational and analytical skills; extremely detail-oriented with the ability to learn quickly and manage multiple tasks

* Team player with the ability to work with multiple teams; including but not limited to Accounting, AP, Payroll, and AR

* Intermediate to Advanced Microsoft Office skills including Excel, Word, PowerPoint and Outlook

Desirable

Qualifications:

* Preferred experience with multi-entity corporate structure

* Certified Cash Manager (CCM) or Certified Treasury Professional (CTP)

* Demonstrated years of hands-on experience in treasury for a multi-entity company

Physical Requirements:

* Ability to perform essential duties satisfactorily with or without reasonable accommodation. Reasonable accommodation may be made to enable individuals with disabilities to perform the essential duties of the position

* Prolonged periods sitting at a desk and working on a computer

* Must be able to lift up to 15 pounds at times

We put our people first at Heartland Dental, and that shows in our generous benefits package.

Company retains the sole discretion to change the duties of the position at any time.

We provide all employees and applicants for employment the protections of federal, state, and local laws affording equal opportunity in employment.
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