This Financial Analyst II - Treasury role is designed for a motivated, tech savvy analyst who wants exposure beyond traditional transactional finance work and is excited to help modernize and elevate a growing Treasury function. The role provides hands on experience across liquidity operations, funding execution, debt and cost analysis, and cross functional finance processes, while also playing an active role in transforming how work gets done through systems, automation, and improved data flows. As manual processes are migrated into our Treasury Management System (TMS) and ERP environment, the scope of the role will increasingly shift toward analysis, decision support, and process ownership. We are looking for someone who is naturally curious, comfortable navigating ambiguity, and eager to learn how treasury decisions connect to broader enterprise strategy. This role is well suited for a self starter who wants to grow into a trusted decision partner and help mature a modern, scalable treasury operating model. This position will be located at our Corporate Office in Appleton, WI with in-office expectations four days/week (Monday - Thursday) with Fridays as an optional in-office or work from home day, depending on business need.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
501-1,000 employees