The Senior Treasury Analyst is responsible for supporting and managing treasury operations, cash management, banking relationships, foreign exchange activities, cash forecasting, pension administration support, insurance program administration, tax-related treasury processes, compliance activities, and process improvement initiatives. The role serves as a key liaison between internal business partners, external financial institutions, service providers, and global Treasury teams. This position offers broad exposure across Treasury, Tax, Audit, Pension, Insurance, Compliance, and Governance activities. While providing opportunities for financial analysis, process improvement, and strategic projects, a significant portion of the role involves coordination, operational support, internal controls, documentation, compliance activities, and cross-functional stakeholder management. The successful candidate will possess solid analytical and problem-solving skills, strong business acumen, attention to detail, and the ability to manage multiple priorities while supporting complex operational processes and identifying opportunities for automation, standardization, and continuous improvement.
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Job Type
Full-time
Career Level
Senior