Summary
Welcome to Ryerson, where exceptional career opportunities await. As a leading provider of industrial metal products and services since 1842, we are committed to excellence and best-in-class customer service. Join our team and be a part of a legacy of excellence, where your contributions will be valued, and your development supported. Ryerson offers a dynamic, quality-focused, environment, ideal for advancing your career and making your mark in the metals industry.
We are seeking a detail-oriented and strategic Treasury Analyst to contribute to the effective management of the company’s cash flow and debt portfolio. This role requires a strong understanding of corporate treasury operations, capital market activities, and banking relationship management. The successful candidate will collaborate closely with the Finance team to ensure accurate reporting, sound financial decision-making, and seamless communication across key stakeholders.
Roles and Responsibilities
- Manage and calculate daily cash positions for US and Canada, execute ACH and wire transfers, make FX spot trades and report daily cash flows
- Responsible for daily debt decisions and recordkeeping; perform interest calculations, reconcile, and execute debt and interest payments
- Perform reconciliation of cash activity in treasury workstation and collaborate closely with accounting team to ensure accurate financial reporting
- Accountable for the determination and disposition of ACH debits and positive pay exceptions
- Prepare budget for bank service fees, analyze, and compare actuals to budget and research and resolve all variances
- Lead treasury management system maintenance, administration, and functionality changes
- Partner with accounts payable to manage cash outflows and gain visibility into projected payments
- Support integration of acquired companies from a treasury perspective (bank account structure, payments, migration to corporate treasury systems)
- All other duties as assigned or duties, responsibilities, and activities may change at any time with or without notice
Requirements
- Bachelor’s Degree in Accounting, or Finance, CTP a plus
- 1-3 years of finance/treasury/accounting experience preferred
- Strong understanding of cash management, corporate finance and accounting
- Understanding Kyriba Treasury Workstation a plus
- Strong proficiency in Microsoft Office applications (MS Excel, PowerPoint, Word, and Outlook)
- Dynamic individual who has demonstrated the ability to adjust to changing priorities and meet deadlines
- Critical thinking and strong analytical, problem-solving and follow-up skills
- Must be able to work in a fast paced, fluid environment where personal initiative is encouraged
Salary: $160,000 - $85,000 annually. A starting salary higher than $60,000 annually is based on a level of experience and education that significantly exceeds the minimum requirements and is commensurate with the compensation scale.
Ryerson offers eligible employees the following benefits:
Medical, dental, and vision insurance programs
Flexible spending accounts
401K plans with employer-matching contributions
Tuition reimbursement
Paid vacation, sick, and holidays
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We are an Equal Opportunity Employer and do not discriminate against any employee or applicant for employment because of race, color, sex (including gender identity, sexual orientation or preference, and pregnancy), age, national origin, religion, disability or genetic information, marital status, status as a veteran, or any other federal, state or local protected class or artificial barrier.