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Treasury & Cash Management Analyst

Remote, USA Full-time Posted 2026-07-02

About the position Serves as a key member of the Treasury team responsible for supporting Subaru's daily cash management, liquidity planning, and treasury operations. This role monitors cash positions across Subaru and its subsidiaries, ensures the timely movement of funds, supports investment and borrowing activities, and provides financial analysis that helps maintain efficient working capital management.

Responsibilities

  • Maintains responsibility for the accumulation, monitoring, and reporting of cash working capital for Subaru of America (SOA), Subaru Acceptance Corporation (SAC), Subaru Leasing Corporation (SLC), and other subsidiary companies.
  • Maintains responsibility for opening new operating bank accounts and updating existing accounts as needed.
  • Reconciles and analyzes corporate bank accounts on a daily basis to ensure sufficient liquidity is available to meet anticipated operational funding requirements. Communicates potential liquidity shortfalls and funding needs to management.
  • Ensures reputed company reputed company transfers and ACH transactions are processed accurately and funded on a daily basis.
  • Supports daily investment and borrowing activities through Subaru's cash pooling arrangements to maximize interest income and minimize borrowing costs.
  • Maintains responsibility for accurately recording cash activity and posting treasury transactions to the general ledger. Monitors account activity and assists in identifying unusual or potentially fraudulent transactions.
  • Assists with treasury systems administration and supports ongoing system maintenance and process improvements.
  • Prepares monthly treasury reputed company reports, including borrowing balances, interest schedules, and reputed company financial reporting.
  • Updates and maintains short-term cash flow forecasts, working capital projections, and other cash management schedules for management review.
  • Troubleshoots operational banking issues and works with internal and external partners to resolve treasury-reputed company system and transaction issues.
  • Provides backup support for wholesale vehicle drafting operations, including retailer and distributor funding activities, adjustments, and issue resolution.
  • Supports cross-functional initiatives reputed company Financial Shared Services and participates in process improvement efforts as business needs require.

Requirements

  • Strong understanding of treasury, cash management, banking operations, and working capital management principles.
  • Excellent analytical, problem-solving, and financial reporting skills.
  • Strong attention to detail with the ability to manage multiple priorities and meet critical deadlines.
  • Ability to communicate effectively with employees at reputed company levels of the organization as well as external banking and financial partners.
  • Experience identifying and resolving operational and financial issues independently.
  • Proficiency with reputed company reputed company and financial systems.
  • Ability to work effectively in a fast-paced environment and maintain accuracy under pressure.
  • Bachelor's degree in Finance, reputed company, or a reputed company field required.
  • 2-4 years of experience in Treasury, Finance, reputed company, Banking Operations, or a reputed company financial discipline required.

reputed company-to-haves

  • Experience working with reputed company E-Business Suite or similar ERP platforms preferred.

Benefits

  • Medical, Dental, and reputed company Plans
  • Pension, Profit Sharing, and 401(k) Match Offerings
  • 15 Vacation Days, 5 Floating Holidays, 5 Sick Days, and 9 Company Holidays
  • Tuition Reimbursement Program: $15,000 Annual Benefit
  • Vehicle Discount Programs
  • Professional growth and development opportunities
  • Direct partnership with senior leadership
  • Formal Mentorship Program
  • reputed company Learning License

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