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Venturi Supply
Corporate Treasury AnalystVenturi Supply • Fort Worth, TX, United States
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Corporate Treasury Analyst

Corporate Treasury Analyst

Venturi Supply • Fort Worth, TX, United States
20 days ago
Job type
  • Full-time
Job description

Join Our Expanding Team!

Venturi Supply is the parent company to a national network of distributors specializing in pipe, valves, fittings, tanks, and industrial supplies, proudly serving a wide range of industries. With deep local roots and national reach through the Venturi Supply platform, our mission is to deliver the critical materials, custom solutions, and reliable service our customers depend on.

At the heart of everything we do is our people. From the shop floor and counter to the job site and field, it's our team's expertise, commitment, and problem-solving mindset that set us apart. Their dedication fuels our service, drives our accuracy, and ensures every order is handled with care and urgency.

Backed by strategically located branches, a vast inventory, in-house fabrication capabilities, and decades of real-world experience, our teams connect infrastructure and industry to the essential resources they need to operate safely, efficiently, and successfully. We're more than a distributorwe're a trusted partner built on strong relationships, operational know-how, and a relentless focus on customer success.

Role Overview

The Treasury Analyst supports the day-to-day cash management, banking, and liquidity functions for Venturi Supply's multi-state, multi-segment operations. This individual will monitor daily cash positions, support bank account administration, spearhead paying the company's payables, and assist with debt and investment activities across the organization. The role works closely with Accounting, AP, and AR to ensure accurate cash reporting and reconciliation, and supports treasury leadership in maintaining strong banking relationships and internal controls as the company continues to grow.

Responsibilities

  • Monitors daily cash positions across all bank accounts and prepares daily cash position reports.
  • Prepares and maintains 13-week cash forecasting and liquidity planning across business segments.
  • Reconciles bank accounts and monitors account activity for accuracy and fraud prevention.
  • Processes and reviews wire transfers, ACH transactions, and other bank transactions in accordance with internal controls.
  • Processes accounts payable to company vendors, landlords, payroll company and lender.
  • Supports management of banking relationships, including account maintenance, signer updates, and bank fee analysis.
  • Assists with administration of the company's credit facility, including borrowing base certificates and covenant compliance reporting.
  • Monitors and reconciles merchant card and payment processing activity.
  • Supports debt service scheduling, including interest and principal payment tracking.
  • Assists with intercompany funding and cash sweep activities across business segments and bank accounts.
  • Prepares monthly treasury reporting packages for finance leadership.
  • Supports the administration of positive pay, fraud monitoring, and other bank security controls.
  • Maintains documentation supporting treasury policies, procedures, and internal controls.
  • Assists with month-end treasury close activities, including journal entries for cash-related accounts.
  • Assists with UCC filings, bank account openings/closings, and signatory changes as the company expands.
  • Assists in the preparation of audit schedules and support for external auditors related to treasury activities.
  • Researches and resolves banking discrepancies, rejected transactions, and payment errors.
  • Monitors compliance with treasury-related policies and escalates exceptions to the Treasury Manager.
  • Assists with system enhancements and testing related to treasury management systems and banking platforms.
  • Collaborates with Accounting, AP, and AR teams to support cash application and payment processing.
  • Performs additional duties as assigned or required.

Requirements

  • Bachelor's degree in Finance, Accounting, or related field.
  • 6 or more years of experience in treasury, corporate finance, banking, or accounting.
  • Experience with treasury management systems and online banking platforms is highly desired.
  • Experience with financial software and ERP systems; familiarity with P21 is preferred.
  • Solid understanding of cash management, banking operations, and basic debt and investment concepts.
  • Keen ability to recognize fraud and phishing attempts.
  • Demonstrated strong analytical and problem-solving skills with a successful record of resolving banking and reconciliation issues.
  • Advanced proficiency in Excel, including experience with financial modeling and reporting tools.
  • Ability to handle sensitive and confidential financial information with discretion.
  • Strong written and verbal communication skills.
  • Ability to work independently while following established treasury policies and procedures.
  • Strong attention to detail and accuracy when handling financial transactions and reporting.
  • Ability to manage multiple priorities and meet deadlines in a fast-paced, multi-entity environment.
  • Detail-oriented, self-directed, and self-motivated, able to handle a high-volume workload and adjust to shifting priorities in a fast-paced department.
  • Ability to research and resolve discrepancies independently, escalating unusual or complex issues as needed.
  • Comfortable working with multiple bank platforms and online banking portals.
  • Thrives collaboratively in a team environment.
  • Willingness to learn and grow within a fast-paced, multi-entity treasury function.
  • Physical requirements: Prolonged periods of sitting and computer use; occasional standing, walking, reaching, bending, and lifting/carrying up to 15 pounds.
  • Ability to pass a background check, MVR check, and drug test.

Benefits

We're dedicated to our employees' and their families' health and well-being.

  • Benefits begin on the first of the month following 30 days of employment.

Exceptional Health Coverage

  • Three medical plans, including HSA-qualified, with virtual care.
  • Dental and vision coverage, including kids' orthodontia.
  • HRA reimbursement eligibility.
  • Employer-paid life and long-term disability insurance.

Smart Financial Benefits

  • 401(k) plan: Pre-tax and Roth options plus a generous employer matching contribution.

Time Off & Work-Life Balance

  • Enjoy 10 paid holidays and accrue PTO from your first day.
  • Flexible workplace culture with career growth opportunities.

Wellness & Support

  • Access a robust Employee Assistance Program (EAP) with 24/7 support for you and your family.
  • Resources to support mental, emotional, and financial well-being.

Culture that Works for You

  • Join a team that values integrity and innovation.
  • Grow as a leader in industrial distribution with cutting-edge automation and supply chain solutions.
  • Be part of a company that prioritizes people over profits.

Venturi Supply and its affiliated companies are dedicated to fostering a diverse and inclusive workplace. We are an equal opportunity employer and do not discriminate against individuals based on race, national origin, gender, gender identity, sexual orientation, protected veteran status, disability, age, or any other legally protected status.

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Corporate Treasury Analyst • Fort Worth, TX, United States

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