Treasury Analyst

Cresco LabsChicago, IL
Onsite

About The Position

Cresco Labs is seeking a Treasury Analyst to join our corporate finance team in Chicago, IL. This entry-level role is an excellent opportunity for a motivated finance professional to gain hands-on experience in treasury operations within a dynamic, fast-growing company. Reporting to the Senior Manager, Treasury, the Treasury Analyst will assist with day-to-day cash management, banking relationships, and treasury reporting. The ideal candidate is highly organized, detail-oriented, and eager to grow within a fast-paced environment.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field
  • 0–2 years of relevant experience in finance, accounting, or treasury (internship experience welcomed)
  • Strong analytical and problem-solving skills with high attention to detail
  • Proficiency in Microsoft Excel (pivot tables, VLOOKUP, basic financial modeling)
  • Excellent verbal and written communication skills
  • Ability to manage multiple priorities and meet deadlines in a fast-paced environment
  • Self-starter with strong organizational skills and a proactive mindset
  • Must be 21 years of age or older to apply
  • Must comply with all legal or company regulations for working in the industry
  • Applicants must be legally authorized to work in the United States on a permanent basis without the need for current or future sponsorship at any time.

Nice To Haves

  • Exposure to treasury management systems or ERP platforms (SAP, Oracle, etc.)
  • Familiarity with cash management, bank reconciliation, or financial reporting
  • Interest in or experience with the cannabis or consumer goods industry
  • Pursuing or interest in pursuing a CTP (Certified Treasury Professional) designation

Responsibilities

  • Assist with daily cash disbursement and receipt processes, ensuring accuracy and timeliness
  • Support the monitoring and reconciliation of bank accounts across multiple entities and locations
  • Help maintain treasury policies, procedures, and internal controls
  • Assist in tracking daily cash positions and preparing cash flow reports
  • Support the implementation of new banking services and products
  • Help maintain and update banking systems, user access records, and fee structures
  • Assist in building and maintaining positive relationships with banking partners
  • Prepare documentation needed for bank account openings, closures, and changes
  • Prepare weekly, monthly, and quarterly cash management and operating cash flow analysis for the Treasury Manager
  • Assist in creating and maintaining treasury dashboards and management reporting
  • Support variance analysis and trend identification related to cash flows
  • Contribute to the preparation of materials for senior leadership and board presentations
  • Partner with divisional finance teams to support accurate and timely cash flow forecasting
  • Coordinate with Accounts Payable and Accounts Receivable teams on cash-related activities
  • Assist with special projects and ad hoc analyses as requested by the Treasury Manager

Benefits

  • major medical, dental and vision insurance
  • a 401(K)-match program
  • FSA/HSA programs
  • LTD/STD options
  • life insurance and AD&D
  • paid holidays
  • paid time off
  • annual discretionary bonuses
  • stock options
  • employee discount program
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