Treasury Analyst I

VericastSan Antonio, TX

About The Position

Vericast is seeking a motivated and detail-oriented Treasury Analyst I to join our Treasury team. This role is ideal for an early-career finance professional who enjoys working with cash management, banking operations, reconciliations, financial reporting, and process improvement. The Treasury Analyst I plays a critical role in supporting daily treasury activities, maintaining strong internal controls, and ensuring efficient management of company cash and banking relationships.

Requirements

  • Bachelor's degree in Accounting, Finance, or a related field.
  • 2+ years of accounting, treasury, or finance experience.
  • Strong analytical and problem-solving skills.
  • Exceptional attention to detail and commitment to accuracy.
  • Ability to interpret financial data and present information in a meaningful and accurate manner.
  • Strong communication and collaborative skills.

Nice To Haves

  • Experience working with Accounts Receivable, Inventory, and Accounts Payable reporting.
  • Exposure to treasury reporting, debt management, or financial compliance reporting.
  • Experience preparing reconciliations and journal entries in a corporate finance environment.

Responsibilities

  • Perform daily cash management activities, ensuring the efficient use of cash while maintaining internal controls to safeguard company assets.
  • Utilize Kyriba and banking platforms to monitor cash positions, facilitate treasury transactions, and support daily cash management activities.
  • Monitor and utilize cash concentration structures and banking services to collect, transfer, and disburse funds electronically through ACH, wire transfers, investment sweeps, lockbox services, controlled disbursements, and other banking platforms.
  • Initiate and manage Positive Pay files for disbursements and upload cleared check files into SAP.
  • Maintain daily cash reporting files and support all cash movements in accordance with SOX requirements and audit guidelines.
  • Administer bank platform access, maintain user security profiles, and manage recurring wire transfer templates.
  • Monitor bank account activity to ensure excess cash is effectively utilized and overdrafts are avoided.
  • Analyze account activity and investigate variances and exceptions.
  • Prepare daily and monthly journal entries related to wire transfers, cash transactions, and other treasury-related activities.
  • Utilize Kyriba and SAP to support treasury accounting, transaction reporting, and journal entry preparation.
  • Prepare monthly account reconciliations for treasury-related accounts and resolve reconciling items in a timely manner.
  • Process monthly rental payments and maintain real estate and lease documentation within ProLease.
  • Support quarterly and annual reporting requirements, including requests from internal and external auditors, lenders, and other stakeholders.
  • Process quarterly royalty payments, wire transfers, and electronic tax payments in accordance with established deadlines.
  • Prepare and maintain banking documentation, including account agreements, funds transfer agreements, signature cards, account maintenance requests, and other banking records.
  • Perform ad hoc financial analysis, assist with cash forecasting, and complete other duties, special projects, and assignments as directed by Treasury management.

Benefits

  • workplace flexibility
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