The Sr Treasury Analyst role is responsible for maintaining functional area policies, procedures, and controls to ensure compliance with Treasury policies, GAAP, and regulatory requirements. This position involves reviewing daily/monthly treasury-related journal entries, preparing and submitting various financial reports (debt, investments, capital structure), and managing card programs. The analyst will also partner with IT to maintain treasury systems, troubleshoot issues, and assist with rate case questions and audit requests. Additionally, the role includes maintaining cash forecasting tables, preparing cash forecasts, and participating in the evaluation and implementation of cash flow forecasting technologies.
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Job Type
Full-time
Career Level
Senior