Senior Treasury Analyst

VictaulicEaston, PA

About The Position

The Senior Treasury Analyst serves as the functional backbone of the Treasury department, owning the day-to-day execution of global treasury operations while developing toward a people leadership role. The position ensures operational continuity and process excellence across cash management, payments, forecasting, and banking administration, while increasingly acting as a team lead, mentor, and project driver. Expected to exercise independent judgment, manage junior analysts, and serve as the primary point of escalation for operational issues.

Requirements

  • 5+ years of corporate treasury or finance experience required
  • Demonstrated ability to manage competing priorities and deadlines in a high-volume, global environment.
  • Strong analytical and problem-solving skills; comfort working with large, multi-currency data sets.
  • Excellent verbal and written communication skills; ability to present clearly to senior finance leadership.
  • Advanced Excel proficiency required
  • High degree of integrity and discretion in handling confidential financial information.
  • Collaborative and team-oriented, with the maturity to influence without authority and lead through example.

Nice To Haves

  • Direct supervisory or mentoring experience preferred.
  • CTP (Certified Treasury Professional) designation preferred or active pursuit encouraged.
  • TMS (Treasury Management System) and ERP experience (SAP preferred) a plus.

Responsibilities

  • Own and oversee the daily global cash position reporting process; review and approve analyst-prepared reports before management distribution.
  • Oversee the initiation and approval of electronic fund transfers; serve as backup approver for high-value or exception payments.
  • Manage and review daily cash reconciliation, ensuring timely resolution of breaks and escalation of systemic issues.
  • Lead the monthly global treasury calls across all entities and currencies, coordinating with regional finance teams.
  • Perform and review monthly analysis of bank fees; identify optimization opportunities and present findings to the Assistant Treasurer.
  • Lead the development and continuous refinement of the global 13-week cash forecast model, including regional stakeholder coordination.
  • Oversee bank account administration globally, including signatory updates, new account openings/closures, and KYC compliance.
  • Provide day-to-day direction, coaching, and workflow oversight to junior analysts.
  • Identify training needs and facilitate knowledge transfer across the team to improve depth and reduce key-person dependency.
  • Foster a collaborative, high-accountability team culture consistent with Victaulic's values.
  • Lead quarterly Treasury Scorecard review.
  • Lead and push banking partners for annual review of banking Scorecard.
  • Serve as project lead for treasury-specific initiatives (e.g., banking system implementations, process automation, policy updates), managing junior treasury analysts when necessary.
  • Assist in the development and maintenance of Treasury policies, procedures, and internal controls documentation.
  • Champion the identification and implementation of automation and AI-driven solutions across established treasury processes; evaluate tools and workflows to reduce manual effort, improve accuracy, and increase operational efficiency.
  • Other duties and special projects as assigned.
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