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Treasury Analyst

Job in Pineville, Rapides Parish, Louisiana, 71360, USA
Listing for: Crest Industries
Full Time position
Listed on 2026-06-21
Job specializations:
  • Finance & Banking
    Financial Analyst, Corporate Finance, Financial Reporting, Risk Manager/Analyst
Salary/Wage Range or Industry Benchmark: 60000 - 80000 USD Yearly USD 60000.00 80000.00 YEAR
Job Description & How to Apply Below

Come join our team at Crest Operations!

With companies located across the United States, Crest Industries is committed to bringing together the best people and the right resources to meet today’s challenges and deliver the innovations of tomorrow. With significant recent growth and company acquisitions, Crest more than ever is a catalyst for change, using a little grit and a lot of determination to drive a forward movement for our customers and our employees.

As a Treasury Analyst, you'll play an important role in supporting the financial strength of Crest Industries. From managing cash and banking activities to supporting debt administration, reporting, and liquidity planning, your work will help ensure our businesses have the financial resources needed to operate, grow, and succeed.

If you're a recent graduate or early-career professional looking to build a long-term career in treasury and corporate finance, this role offers the opportunity to develop your skills while making a meaningful impact from day one.

What You'll Do Treasury Operations & Liquidity Management
  • Support daily cash positioning and liquidity reporting activities.
  • Support short-term and long-term cash forecasting processes.
  • Load payments for approval and assist in ensuring timely execution of disbursements.
  • Manage corporate credit card program activities.
  • Track, analyze, and report on investment balances, earnings, yields, and performance.
  • Assist with maintaining banking relationships and treasury records.
Debt Administration & Capital Management
  • Process and maintain records related to intercompany funding transactions and debt balances.
  • Assist with maintaining debt schedules, loan amortization schedules, and treasury documentation.
  • Track, analyze, and report on bank fees, interest expense, and other treasury-related costs.
  • Support third-party reporting requirements and treasury-related documentation as assigned.
Financial Reporting & Analysis
  • Perform account reconciliations and investigate variances.
  • Prepare and distribute recurring treasury reports for management and business unit leadership.
  • Assist with budgeting, forecasting, and financial planning activities as needed.
  • Support special projects and ad hoc financial analyses as assigned.
Risk Management, Controls & Compliance
  • Maintain strict confidentiality of financial, banking, treasury, shareholder, and business information.
  • Adhere to established internal controls, approval workflows, documentation standards, and fraud prevention practices.
  • Ensure treasury records and supporting documentation are accurate, complete, and maintained in accordance with company policies.
  • Support a strong control environment designed to protect company assets and reduce organizational risk.
Continuous Improvement & Professional Development
  • Identify opportunities to improve treasury processes, reporting accuracy, and operational efficiency.
  • Develop knowledge of treasury, finance, accounting, and corporate banking practices through ongoing learning and professional development.
  • Support process improvements, reporting enhancements, and treasury initiatives as assigned.
What We're Looking For

We're looking for someone who values accuracy, accountability, and continuous learning. The ideal candidate enjoys working with numbers, pays attention to details, follows through on commitments, and can be trusted with sensitive financial information.

Successful candidates will demonstrate:

  • Attention to detail and accuracy
  • Integrity, discretion, and sound judgment
  • Strong analytical and problem-solving skills
  • Effective communication and collaboration
  • Strong planning, organization, and time management skills
  • Business acumen and stewardship of company resources
  • Learning agility and a desire for continuous improvement
Required Qualifications
  • Bachelor's degree in Finance, Accounting, Business Administration, Economics, or a related field.
  • 0–1 year of experience in banking, corporate treasury, accounting, corporate finance, or a related financial discipline, including relevant internship experience.
  • Strong proficiency in Microsoft Excel, including formulas, pivot tables, and financial analysis.
  • Proficiency with Microsoft Office applications.
  • Strong…
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