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Treasury Analyst/Sr Treasury Analyst

Job

Northern Natural Gas

Des Moines, IA (In Person)

Full-Time

Posted 1 week ago (Updated 10 hours ago) • Actively hiring

Expires 6/28/2026

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Job Description

This is a multi-level posting. Candidates may be considered for any of the posted levels 13/14, depending on their level of experience and depth of expertise. The treasury analyst is responsible for assisting the treasury operations team in carrying out the daily and monthly treasury operations of Berkshire Hathaway and assigned subsidiaries, including daily cash management, short-term borrowings and investments, project distributions, and calculation of compliance ratios. This is a multi-level posting. Candidates may be considered for any of the posted levels 13/14, depending on their level of experience and depth of expertise.  Bachelor's degree in business, finance, accounting or related field; or equivalent related work experience (typically four years of related, progressive work experience would be needed for candidates applying for this position who do not possess a bachelor's degree). Two or more years related work experience; treasury or bank related experience preferred. Knowledge of treasury and financial principles, practices, procedures and regulations for the Treasury Analyst position. Four or more years related work experience; treasury or bank related experience preferred. Knowledge of treasury and financial principles, practices, procedures and regulations for the Sr Treasury Analyst position. Strong time management and organization skills to prioritize and handle multiple tasks and projects concurrently. Effective oral, written and presentation skills to communicate information accurately and understandably. Advanced software skills to create and understand financial spreadsheet applications. Perform assigned work responsibilities in coordination of treasury reporting and administration processes involving company cash position, foreign exchange, debt and capital management. This includes daily and monthly cash activity and balance reporting, administration of the treasury management system (GTreasury), issuance of corporate and project letters of credit, prepares and provide appropriate month-end information to accounting, managing the repayment of short-term and long-term debt principal and interest, and distribution of corporate dividends and corporate stock repurchases. (50%) Assists in the issuance of commercial paper or borrowings on short-term bank revolvers or lines of credit, as needed. Invests short-term funds, as available, complying with short-term investment guidelines. (15%) Analyzes bank analysis statements and makes recommendations to Manager regarding services. Assists in the management of investment banking relations and implements bank services, as approved by Manager. (15%) Review work, monitor train and provide guidance to treasury analyst and treasury specialists. (10%) Perform additional responsibilities as requested or assigned, including providing backup to Treasury Operations team members. (10%) Prepares and provides appropriate month-end information to accounting. (5%)