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Finance & Treasury Analyst

The Finance & Treasury Analyst will play a critical role in supporting the stand-up and ongoing operations of NABRICO Marine Products’ finance function. This position will provide hands-on support across Treasury operations, financial reporting, tax coordination, and accounting processes, helping to stabilize workload, ensure compliance, and build scalable processes during a period of transition and growth.

This role is highly cross-functional and requires a detail-oriented, operationally focused professional who can manage daily financial activities while supporting broader finance and accounting initiatives.

Key Responsibilities

Treasury & Finance Operations (Primary Focus)

  • Execute daily treasury activities including:
    • Bank account monitoring and reconciliations
    • Positive Pay review and exception handling
    • Wire and ACH payment processing
  • Support cash management processes and liquidity tracking
  • Assist in developing and documenting treasury procedures and controls
  • Provide support for financial reporting and internal management reporting
  • Assist with forecasting and cash flow planning (as processes are established)
  • Support risk management activities, including insurance and exposure tracking
  • Respond to ad hoc financial analysis requests from leadership

Accounting & Compliance Support

  • Coordinate tax-related support activities, including:
    • Gathering and organizing data for external partners
  • Assist with SOX controls and audit-related requests
  • Provide backup support for accounting operations (including Ashland City site needs)
  • Support system implementations and testing for finance and accounting platforms
  • Assist in maintaining and updating accounting policies and procedures
  • Help track compliance requirements and documentation

Administrative & Cross-Functional Support

  • Support finance and accounting administrative processes
  • Assist in building scalable workflows and documentation as the organization evolves
  • Partner with operations and site leadership as needed to support business needs

Qualifications

  • Bachelor’s degree in Finance, Accounting, or related field
  • 2–7 years of experience in finance, treasury, or accounting roles
  • Experience with treasury operations (cash management, banking platforms, payments) preferred
  • Exposure to tax support, audit, or SOX environments is a plus
  • Strong attention to detail and ability to manage multiple priorities
  • Experience working in a manufacturing or multi-site environment preferred
  • Systems experience (ERP, banking platforms, or financial systems) strongly preferred
  • Strong work ethic required

Key Competencies

  • Operational execution – able to manage daily financial processes with accuracy
  • Ownership mindset – takes initiative in a build environment
  • Analytical thinking – able to support financial insights and decision-making
  • Collaboration – works effectively across finance, accounting, and operations
  • Adaptability – thrives in a fast-paced, evolving environment

Why This Role Matters

This position is essential to:

  • Stabilizing day-to-day treasury operations
  • Supporting compliance and audit readiness
  • Building the financial infrastructure for a newly independent organization
  • Reducing unsustainable workload across leadership

Position Notes (Internal Alignment)

  • Role is expected to be Treasury-heavy (~50–60%) initially
  • Location preference may drive reporting alignment (potentially under Accounting if based in Ashland City)
  • Designed as a foundational hire to support both immediate needs and future growth of the department

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