Senior Treasury Analyst
Listed on 2026-09-30
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Finance & Banking
Financial Analyst, Financial Reporting, Financial Compliance, Risk Manager/Analyst
CRB is a leading provider of sustainable engineering, architecture, construction and consulting solutions to the global life sciences and food and beverage industries. Our more than 1,100 employees provide best-in-class solutions that drive success and positive change for our clients, our people and our communities. CRB is a privately held company with a rich history of serving clients throughout the world, consistently striving for the highest standard of technical knowledge, creativity and execution.
The Senior Treasury Analyst supports the organization’s treasury and cash management activities, with a focus on daily cash operations, reporting, and financial analysis within a project-based AEC environment. This role works closely with Accounting, Project Finance, and senior finance leaders to help maintain liquidity, support working capital needs, and ensure accurate treasury reporting.
This position will report to the Treasurer.
Location: Kansas City, MO - Hybrid schedule
Key Responsibilities- Drive and manage short-term investment activities and the analysis of excess cash balances, ensuring alignment with company policy and optimizing cash utilization
- Manage daily cash positioning and monitoring of bank balances across multiple accounts and entities
- Lead the development and ongoing management of short-term cash forecasts, incorporating payroll, vendor payments, project billings, collections, and disbursements
- Maintain bank account structures, authorized signers, online banking users, and treasury control
- Drive and manage treasury policies, procedures, and internal control frameworks, including the development, implementation, monitoring, and periodic review of controls to support sound treasury operations and risk mitigation
- Identify, lead, and sustain opportunities to optimize treasury operations through automation and system enhancements
- Facilitate bank account openings, closings, KYC requests, and treasury service documentation
- Support payment controls, fraud prevention processes, positive pay, ACH/wire controls, and related treasury risk management activities.
- Monitor debt balances, interest expense, and compliance with debt agreement requirements
- Drive internal treasury reporting initiatives, including cash flow forecasting, variance analysis, and executive management reports
- Partner with Accounting to support bank reconciliations and treasury-related month-end close activities
- Drive working capital initiatives by analyzing accounts receivable, accounts payable, and billing trends
- Lead the preparation and delivery of lender reporting packages, covenant compliance schedules, and financial data requests for lenders, auditors, and surety/bonding partners
- Maintain organized treasury files and support compliance with internal controls
- Perform complex financial analyses and support strategic treasury and finance initiatives on an ad hoc basis
- CTP highly preferred
- Advanced knowledge of Bloomberg, ERP systems, Power BI, and financial reporting applications
- Prior experience supporting project-driven organizations within professional services, engineering, or construction environments
- Advanced analytical, organizational, and problem-solving capabilities, with exceptional attention to detail and a commitment to accuracy
- Strong communication and relationship management skills, with the ability to effectively engage finance leadership, banking partners, auditors, and cross-functional stakeholders
- Demonstrated ability to manage competing priorities, meet critical deadlines, and maintain the confidentiality of sensitive financial information
- Ability to analyze financial and operational trends, identify risks and opportunities, and recommend strategies to enhance liquidity,…
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