Financial Analyst, Treasury

MITCambridge, MA

About The Position

Performs operational support and in-depth analysis related to day-to-day cash operations, longer-term liquidity management and financial planning, the Institute’s debt portfolio, and capital project planning. Coordinates closely with VPF units, including Budget and Financial Analysis (B&FA), the Controllership, MITIMCo, Campus Planning, and Campus Construction.

Requirements

  • Bachelor’s degree in finance or related field.
  • A minimum of four years of experience in financial operations, treasury, capital-related management, or financial analysis in a complex organization.
  • Analytical skills, including financial modeling, spreadsheets, and databases.
  • Verbal and written communication skills.
  • Advanced proficiency with Microsoft Office Suite, video conferencing and collaboration tools.
  • Teamwork orientation, awareness of deliverables and deadlines, and a willingness to cooperate in the fulfillment of joint objectives.
  • Ability to manage a high volume of work, balance priorities, meet deadlines, and attention to detail in a fast-paced environment.
  • Demonstrated follow-through, and commitment to producing high-quality work.
  • Ability to exercise discretion when handling confidential information.
  • Adaptability to learn new skills and support evolving team needs.
  • Collaboration and interpersonal skills, build effective working relationships across teams and the broader community.
  • Investigative, and problem-solving skills with a focus on continuous improvement.
  • Proactively identify needs and propose solutions.
  • Provide responsive and professional support to internal and external stakeholders.
  • Troubleshoot and resolve issues independently with minimal guidance, and appropriately escalate complex issues.

Nice To Haves

  • MBA or equivalent experience.
  • Chartered Financial Analyst (CFA), Certified Public Accountant (CPA) or Certified Treasury Professional (CTP).
  • Experience working within a central finance group of a complex organization, with a demonstrated ability to work with business partners across an organization.

Responsibilities

  • Perform operational support and in-depth analysis related to day-to-day cash operations.
  • Manage longer-term liquidity management and financial planning.
  • Analyze the Institute’s debt portfolio.
  • Support capital project planning.
  • Coordinate closely with VPF units, including Budget and Financial Analysis (B&FA), the Controllership, MITIMCo, Campus Planning, and Campus Construction.
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