Manager, Corporate Finance- Reporting & Treasury

Posted Yesterday
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West Chester, OH, USA
In-Office
Senior level
Industrial • Manufacturing
The Role
Leads monthly financial reporting and treasury management, including executive and Board-level reporting, cash management, banking relationships, liquidity monitoring, capital forecasting, and internal investment approvals. Partners with corporate finance leadership on budgeting, long-range planning, joint ventures, and special projects. Requires strong financial analysis, communication, organizational, and reporting skills, with advanced Excel and ERP proficiency.
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Job Summary & Responsibilities

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 Manager, Corporate Finance- Reporting & Treasury position at our West Chester, OH location.

 

Job Summary:

Manager, Corporate Finance - Reporting & Treasury is responsible for leading monthly financial reporting and treasury management. This role serves as a key partner to the Corporate Finance Leader, owning executive-level reporting, monitoring & forecasting capital allocation, and managing the company's internal investment process.

 

The position requires strong analytical rigor, attention to detail, and the ability to synthesize complex financial data into clear, actionable insights for senior leadership.

 

Key Responsibilities:

 

Financial Reporting

  • Own and deliver monthly financial reporting on a consistent, accurate, and timely basis
  • Prepare and manage executive reporting materials, including Board of Directors presentations and Monthly and Quarterly Business Review updates
  • Ensure reporting accuracy, consistency, and clarity across all deliverables to senior leadership

 

Treasury Management

  • Manage Corporate Treasury functions for both ClarkDietrich and CDH (JV), including cash management, banking relationships, liquidity monitoring
  • Build out and maintain a comprehensive capital forecasting process
  • Oversee internal investment review and approval process. Collaborate cross-functionally and to guide business case building, submission, review, and approval

 

Cross-Functional Collaboration

  • Partner with the Corporate Finance Leader on budget process, Long Range Plan, and coverage of CD JV and VC initiatives as needed
  • Collaborate with Corp. Finance peers (BI & Analytics; Forecasting & Analysis) to ensure consistency of data and messaging across reporting outputs
  • Support ad hoc financial analysis and special projects as directed by the Corp. Finance Leader

 

Preferred Qualifications

Required Qualifications:

  • Bachelor's degree in Finance, Economics, or related field
  • 5-7 years of progressive experience in corporate finance, treasury, or financial reporting roles
  • Demonstrated experience preparing executive/Board-level financial materials
  • Strong understanding of treasury operations, cash management, and investment fundamentals
  • Advanced proficiency in Excel and financial reporting/ERP systems
  • Excellent written and verbal communication skills, with the ability to present to senior leadership
  • High attention to detail and strong organizational skills, with the ability to manage multiple deadlines

Preferred Qualifications:

  • Familiarity with BI and master data management concepts
  • Familiarity with data extraction, analysis, and visualization tools such as SQL, Power BI, Tableau
  • Experience with Lean, Six Sigma, or other continuous improvement methodologies

Personal Attributes:

  • Ego-free, agenda-free approach
  • Ownership mentality
  • Strong problem-solving skills and proactive mindset
  • Ability to work independently and as part of a team
  • Results-oriented with a focus on operational and financial efficiency
  • Strong interpersonal skills with the ability to build relationships across all levels of the organization
  • Ability to manage multiple priorities in a fast-paced environment
  • Adaptability and willingness to learn and implement new tools and processes
  • Business acumen and understanding of supply chain dynamics
CLARKDIETRICH BENEFITS INCLUDE:
Full benefits package (Medical, Dental, Vision, Flexible Spending Accounts and Life Insurance)
401(k) with company match
Annual Incentive
Paid Time Off
Tuition Reimbursement
Professional Certification Reimbursement Program
Community Service Day

 

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The Company
HQ: West Chester, OH
1,500 Employees
Year Founded: 2011

What We Do

ClarkDietrich is a leading manufacturer of cold-formed steel framing and interior and exterior finishing products in North America. The company is committed to building a culture where everyone belongs, emphasizing integrity, teamwork, and innovation. By fostering an environment where people feel seen and valued, ClarkDietrich focuses on unlocking innovation and strengthening communication to deliver high-quality structural solutions for the building industry.

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