Treasury Specialist
northwood solutionsAlpena (MI)
About the role
Treasury SpecialistLocation: Hybrid, Alpena, Michigan
Join Our Growing Treasury Team
Northwood Solutions, Inc. is restructuring our Treasury Management team to better support client growth, enhance internal controls, improve succession planning, and provide specialized expertise to our client companies who require increasingly complex banking and cash management activities.
We are seeking an experienced treasury, cash management, or finance professional to join our Treasury Management team. This role is ideal for someone with treasury management experience who enjoys combining hands-on cash and payment operations with analysis, reporting, controls, and process improvement.
What You'll Do:
Cash Management & Treasury Operations
Prepare daily and weekly cash position reports.
Monitor liquidity across multiple entities and bank accounts.
Support cash forecasting and funding activities.
Analyze account balances and funding requirements.
Calculate interest and maintain supporting schedules.
Support clients as they transition to various banking structures.
ACH & Wire Administration
Process ACH transactions.
Initiate and manage domestic and international wire transfers.
Verify supporting documentation and approvals.
Maintain ACH and wire transaction logs.
Monitor settlement activity and confirmations.
Investigate returns, rejects, and payment exceptions.
Coordinate with banking partners regarding payment issues.
Support fraud prevention and payment control procedures.
Treasury Reporting & Analysis
Perform ACH and banking
Analyze treasury activity and identify variances.
Prepare weekly cash reporting packages.
Support executive treasury reporting.
Develop dashboards and key performance indicators.
Treasury Management Team Support
Continually cross-train with the Treasury team to share and maintain knowledge.
Collaborate with the Treasury team to ensure continuity of daily operations.
Process Improvement
Identify opportunities to automate treasury processes.
Develop advanced Excel reporting tools.
Build dashboards, models, and reporting
Improve treasury workflows and controls.
Create and maintain treasury documentation and SOPs.
Controls & Compliance
Support treasury policy compliance.
Assist with internal and external audits.
Maintain treasury control documentation.
Monitor segregation of duties and payment controls.
Assist with banking governance initiatives.
Benefits:
Full-time employees are eligible for:
Competitive pay based on competency
100% employer-paid health insurance and HSA for employees
Flexible paid time off and holidays
401(k) with employer matching
Discretionary bonuses
Join Our Team
We are excited to welcome new talent to our team! If you are passionate about what you do and are looking for a dynamic and supportive work environment, we encourage you to apply. Join us and be a part of a company that values innovation, collaboration, and professional growth. We look forward to seeing how we can succeed together.
Before you apply
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Your profile is current
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A number in mind
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Your notice period
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Once you apply, someone reads it and calls you before anything reaches the employer — usually within two working days.
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