Treasury Analyst I

Mariner Finance•Nottingham, MD
•Remote

About The Position

Join Mariner Finance! Since 1927, the Mariner Finance family of companies has provided customers with creative, flexible, and convenient lending options. Headquartered in Baltimore, Mariner Finance operates coast-to-coast with physical locations in over half the states. With a growing number of employees, superior customer service remains the cornerstone of our business, and we pride ourselves in delivering a variety of loans with an enhanced focus on exceptional service. We work with customers to find options that are beneficial to their specific needs, which is why we are recognized by our customers as one of the community’s consumer finance companies of choice.

Requirements

  • Bachelor’s Degree in Accounting, Economics, Finance or a related field.
  • Successfully demonstrates, through prior experience and on-the-job, effective human relations and interpersonal skills and a participative team-oriented style.
  • Experience working in Microsoft Office particularly Excel.
  • Ability to handle multiple work streams at once in a fast-paced environment with a strong emphasis on attention to detail and timely completion.
  • Self-starter with exceptional work ethic, motivation, and desire to learn.
  • Results-oriented individual with the ability to translate plans into actions.
  • Superior attention to detail and organizational skills.
  • Intellectually curious and proactive to learn.

Nice To Haves

  • SQL knowledge and experience.
  • Experience or general knowledge of Accounting GAAP concepts.
  • Fixed income mechanics including bond math (duration, yield) and capital markets exposure.

Responsibilities

  • Be responsible for the day-to-day management of cash and treasury operations, cash forecasting, assisting with short-term borrowings, and treasury payments.
  • Provide the required financial framework, financial analysis, financial modeling, and business metrics.
  • Optimize top-off mechanics, processes, and workflows.
  • Automate reporting processes, including top-offs and monthly settlements.
  • Review warehouse cash movements and identify opportunities to improve efficiency.
  • Support the daily cash process under the guidance of the Treasury Cash Manager.
  • Support the transition and ongoing ownership of reporting activities and dependencies from internal teams
  • Create and maintain securitization dashboards.
  • Develop and maintain quality control processes for reporting.
  • Support securitization structuring and pricing activities.
  • Assist with internal and external audit requests by gathering, preparing, and providing accurate and timely data, reports, files, and supporting documentation as requested.
  • Utilize SQL Server databases by developing queries, views, and various functions in order to provide detailed analytics and financial reporting.
  • May perform additional functions depending on business needs.

Benefits

  • All full time employees are provided with a generous benefits package in addition to their monetary compensation.
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