Bank Financial Analyst (Treasury)

The Church of Jesus Christ of Latter-day SaintsSalt Lake, UT

About The Position

We are seeking a dynamic and motivated individual to join our team as a Business Analyst in our Treasury Services Division. The ideal candidate will have a strong background in Treasury services and a passion for cultivating and maintaining strong bank and department relationships for the worldwide organization of The Church. The successful candidate will have excellent communication and presentation skills, a keen eye for detail, and a strong understanding of financial analysis and reporting. This role offers the opportunity to make a significant impact in the worldwide efforts of the organization. If you are seeking an exciting opportunity in the Treasury Services Division and have a passion for treasury services and financial analysis, we encourage you to apply. This is a unique opportunity to contribute to The Church’s funding operations and make a meaningful difference worldwide.

Requirements

  • BS degree in business, information systems or related field with six years of production or related professional experience required
  • a minimum of two years experience in the logistics industry as a systems/business analyst.
  • Knowledge of business systems analysis and business management principles.
  • Ability to work well in a team environment
  • Highly skilled in the use of such standard desktop software as Excel, and Adobe
  • Capable of performing detailed, technical data analysis along with the use of business processes is essential.
  • Ability to communicate effectively orally and in writing.
  • Composure and ability to think clearly during demanding situations
  • Able to keep confidences and appropriately deal with sensitive data and documents.
  • Self-starter to manage deadlines

Responsibilities

  • Managing operational, financial, and compliance activities related to international funding, including administration for The Church’s Global Funding System (GFS), Delivery Instructions, Approval Structures, and Communications with the banks involved.
  • Analyzing and reporting on fees, keeping track of and reporting on FX fees monthly, quarterly, and annually, as well as preparing for regular meetings to train Area Office professionals.
  • Distribute reports for the GFS Cash Management Forecast, drawdown from our currency vendor, and other data reports.
  • Overseeing FX Payroll for General Authorities, FX activities with other vendors, and supporting Area Offices in their cash forecasting needs.
  • Leading daily scrum meetings, monthly trainings, audit meetings, and OFAC reviews.
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