Acadia Healthcare

Treasury & Financial Analyst

Job Locations US-TN-Franklin
Job ID
2026-95810
Category
Finance
Department Number
973 FINAN/ACCT
Location : Name
Acadia Healthcare

Overview

Treasury & Financial Analyst

Location: [Insert location / Hybrid / Remote]
Company: Acadia Healthcare

About the Role

The Treasury & Financial Analyst supports best‑practice treasury operations while delivering targeted financial and operational analysis that improves liquidity visibility and capital decision-making. This role is primarily focused on daily treasury execution, cash management, and banking activity, while also supporting select financial planning and analysis (FP&A) initiatives related to cash forecasting and capital planning.

 

This is a great opportunity for a detail-oriented finance professional who enjoys hands‑on treasury work and wants exposure to broader corporate finance activities in a dynamic, multi-entity environment.

 

 

Why Join Us?

You’ll be part of a collaborative finance team where treasury execution directly supports business operations and strategic decision-making. This role offers meaningful exposure to liquidity management, capital planning, and enterprise finance while working in a growth-oriented environment.

 

Compensation & Benefits
We value your expertise and dedication—and we invest in your success.
• Competitive Base Salary commensurate with experience
• Comprehensive Medical, Dental, and Vision Insurance
• 401(k) Plan with Company Match
• Paid Time Off (PTO) and recognized holidays
• Company-paid Basic Life and AD&D Insurance
• Employee Assistance Program (EAP) and mental wellness resources
• Opportunities for professional growth and advancement within Acadia’s nationwide network

 

 

 

Responsibilities

What You’ll Do

Treasury Operations (Approx. 80%)

  • Manage daily cash positioning, monitoring, and reporting for corporate and facility operations
  • Prepare and distribute daily cash reports to support enterprise liquidity visibility
  • Initiate and monitor ACH and wire transactions
  • Support bank account administration, merchant processing, and fraud mitigation efforts
  • Assist with treasury-related acquisition integration activities, including bank transitions and system setup
  • Support administration of Travel & Expense (T&E) and Purchasing Card (P-Card) programs
  • Perform transaction research, stop payments, and bank issue resolution
  • Evaluate treasury automation and identify process, control, and efficiency improvement opportunities
  • Identify cash optimization, working capital, and cost-saving opportunities
  • Enforce treasury policies, procedures, and internal controls

Financial Planning & Analysis (Approx. 20%)

  • Support short- and medium-term cash forecasting and liquidity planning
  • Assist with financial analysis related to capital expenditures and capital allocation decisions
  • Support budgeting and forecasting activities with a focus on cash flow timing and impacts
  • Prepare ad hoc financial and operational analyses for treasury and finance leadership

What You Bring

  • Strong attention to detail with a high degree of accuracy
  • Working knowledge of treasury operations, banking activities, and cash management
  • Analytical mindset with the ability to translate data into actionable insights
  • Strong organizational skills and ability to manage recurring deadlines
  • Clear, professional communication and ability to collaborate cross-functionally
  • High integrity and commitment to confidentiality and internal controls

 

 

Qualifications

EDUCATION/EXPERIENCE/SKILL REQUIREMENTS: 

  • Bachelor’s Degree in Accounting or Finance 
  • CPA and CTP preferred 
  • New grad - 2 years progressive financial experience required including treasury, accounting, and cash management exposure; 1-2 years preferred 
  • Familiarity with Generally Accepted Accounting Principles (GAAP) 
  • Advanced analytical abilities 
  • Solid business acumen with a high degree of ethics and integrity. 
  • Advanced computer skills including Microsoft Office; especially Word, Excel, and PowerPoint.   
  • Ability to work professionally with sensitive, proprietary data & information while maintaining confidentiality. 
  • Excellent interpersonal skills including the ability to interact effectively and professionally with individuals at all levels; both internal and external. 
  • Exercises sound judgment in responding to inquiries; understands when to route inquiries to next level. 
  • Self-motivated with strong organizational skills and superior attention to detail. 
  • Continuously works under pressure of near 100% accuracy while meeting deadlines. 

LICENSES/DESIGNATIONS/CERTIFICATIONS: 

  • Recommended to obtain Certified Treasury Professional (CTP) Certification 

SUPERVISORY REQUIREMENTS:  

This position is an Individual Contributor 

 

While this job description is intended to be an accurate reflection of the requirements of the job, management reserves the right to add or remove duties from particular jobs when circumstances  
(e.g. emergencies, changes in workload, rush jobs or technological developments) dictate.

 

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