Treasury Analyst / Sr. Treasury Analyst (Temporary)

AdNet AccountNet, Inc.Hanover, MD

About The Position

This temporary Treasury Analyst role supports the Treasury function by assisting with foreign exchange (FX) transactions, risk management activities, corporate finance initiatives, and other treasury‑related projects. The position reports directly to the Director of Treasury. The level of the role may be aligned with the individual’s experience.

Requirements

  • Minimum of 2–5 years of relevant work experience in treasury, banking, investment, risk management, or a related financial accounting field.
  • Bachelor’s degree in finance or accounting required.
  • Experience with domestic and foreign wire payment input is required.
  • Proficiency in Microsoft Excel and PowerPoint.

Nice To Haves

  • Experience and knowledge of the FX market is a plus.
  • FX trading experience, particularly using Bloomberg FX GO, is a plus.
  • CFA certification or candidacy is a plus.
  • Experience with insurance markets and global banking regulations is a plus.
  • Demonstrated interest in treasury management and operations.
  • Self‑starter with the ability to work independently and take initiative with minimal supervision.
  • Detail‑oriented with the ability to work in a control‑ and compliance‑based environment.
  • Strong analytical skills with a focus on accuracy.
  • Strong interpersonal skills and a customer‑service orientation to support internal stakeholders.
  • Experience with Oracle, Bloomberg, Kyriba, or other treasury management systems is a plus.
  • Programming experience or skills are a plus.

Responsibilities

  • Assist in developing FX hedging strategies and implementing a centralized FX risk management program to mitigate balance sheet and cash flow FX risks across global operations.
  • Quantify FX risk exposures and execute daily FX forward, spot, and other transactions with global banking partners.
  • Perform internal and external trades using electronic platforms and treasury management systems.
  • Report FX mark‑to‑market exposure and counterparty risk exposure.
  • Prepare hedge documentation and analyze hedge effectiveness.
  • Coordinate with other treasury operational areas, including cash management and cash investments.
  • Handle insurance‑related inquiries for customer and vendor contracts with assistance from the insurance broker.
© 2026 Teal Labs, Inc
Privacy PolicyTerms of Service