Treasury Specialist
Sargent is seeking a Treasury Specialist to join our Finance team. This position is responsible for managing daily cash operations, banking relationships, cash flow forecasting, debt administration, and treasury-related financial reporting. The ideal candidate is analytical, detail-oriented, and enjoys working in a fast-paced environment while supporting the financial health of a growing, employee-owned company.
Key Responsibilities
- Monitor daily cash balances and banking activity
- Prepare cash flow forecasts and liquidity analyses
- Manage wire transfers, ACH payments, and treasury transactions
- Maintain banking relationships and administer bank accounts
- Support debt management, loan compliance, and credit facilities
- Oversee accounts receivable collections and company credit card programs
- Reconcile treasury-related accounts and prepare journal entries
- Assist with month-end close, audits, and financial reporting
- Help strengthen internal controls and payment security processes
- Support strategic initiatives, acquisitions, and capital projects
Qualifications
- Bachelor's degree in Accounting, Finance, Business Administration, or related field preferred
- 5+ years of experience in treasury, accounting, finance, or cash management
- Strong Excel, analytical, and problem-solving skills
- Experience with cash forecasting, banking relationships, and financial reporting preferred
- Ability to handle confidential information with professionalism and discretion
- Valid driver's license with a clean driving record
Why Join Sargent?
As a 100% employee-owned company, every employee shares in our success. We offer competitive pay, comprehensive benefits, opportunities for growth, and the chance to make a meaningful impact within a collaborative team environment.
Sargent is an Equal Opportunity Employer.
Equal Opportunity Employer, including disabled and veterans.
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