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Risk & Treasury Analyst

ClarkDietrich
United States, Ohio, West Chester
Aug 30, 2025
Do you have a strong work ethic and the desire to join an organization that invests in its people through cross-training and development? ClarkDietrich fosters a work-life balance and offers competitive compensation and benefits. Join the ClarkDietrich team by applying to the Risk & Treasury Analyst position at our West Chester, OH location.
The Risk & Treasury Analyst is responsible for supporting the company's financial risk management and treasury operations. This role plays a key part in monitoring cash flow, managing banking relationships, overseeing insurance programs, and helping identify and mitigate operational and financial risks.

The ideal candidate is a strong communicator, analytical, detail-oriented, and comfortable working cross-functionally with teams including Finance, Legal, Sales, and Corporate Risk Management.

Key Responsibilities:


Treasury Operations



  • Monitor daily cash positions and ensure liquidity across accounts
  • Assist in short- and long-term cash flow forecasting
  • Manage banking platforms and support wire/ACH payments and reconciliations
  • Support bank account and relationship management and documentation
  • Collaborate with accounting to ensure timely and accurate treasury reporting


Insurance Management


  • Liaise with parent risk management team and insurance providers to maintain adequate coverage
  • Coordinate the annual insurance renewal process and support claims management
  • Maintain accurate records of all insurance policies, certificates, and claims history


Customer Underwriting & Risk Review


  • Conduct credit risk assessments for new and existing customer accounts
  • Work with parent RM team to establish credit limits, payment terms, and risk mitigation strategies
  • Coordinate customer creditworthiness review processes in collaboration with Sales and Accounts Receivable teams


Compliance & Reporting


  • Ensure compliance with internal controls, policies, and regulatory requirements
  • Prepare and deliver reports on cash position and flow, risk exposure, and insurance metrics
  • Assist with internal and external audits by providing documentation and analysis as needed

Required Qualifications:



  • Bachelor's degree in Finance, Accounting, Economics, or a related field
  • 3-5 years of experience in treasury and risk management
  • Experience with banking platforms, cash management tools, and ERP systems
  • Strong proficiency in Excel; financial modeling experience preferred


Preferred Qualifications:



  • CTP, CRM or similar professional certification
  • Knowledge of SOX compliance and internal control practices
  • Knowledge of insurance programs and risk exposure tracking
  • Familiarity with data extraction and visualization tools such as SQL, Power BI
  • Experience or exposure to Lean, Six Sigma, or other process improvement methodologies


Personal Attributes:



  • Strong analytical and problem-solving skills
  • High attention to detail and strong organizational abilities
  • Effective communication skills with the ability to collaborate across departments
  • Adaptable, proactive, and capable of managing multiple priorities

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