Treasury Analyst

Avion Hospitality Employee Services LLCPlano, TX
55d

About The Position

Avion Hospitality is growing, and we’re adding a Treasury Analyst to our Corporate Support team. Reporting to the Treasury Manager, this role safeguards cash, supports banking operations across a multi-hotel portfolio, and partners with Accounting, Operations, and property leadership to keep funds flowing accurately and on time. You’ll reconcile activity daily, coordinate wires/ACH, help manage merchant services and pcards, and contribute to cash forecasting and treasury compliance. As our portfolio expands, so will the scope and growth opportunities for this role.

Requirements

  • Bachelor’s degree in Finance, Accounting, or related field.
  • 2–4 years in treasury, banking, or corporate finance.
  • Proficient with Microsoft Office; Excel (mid-level) required (lookups, pivots, basic modeling).
  • Working knowledge of wires, ACH, and BAI codes used by the banking industry.
  • Quick learner with technology (banking portals, merchant platforms; treasury/workflow tools a plus).
  • Strong organization: able to prioritize, meet deadlines, and manage multiple projects simultaneously.
  • Detail-oriented with a problem-solving mindset and a creative approach to resolution.
  • Clear communicator, both written and verbal; able to partner effectively with property leaders and external banks.
  • You operate with Trust, Transparency, and Results—our core values.
  • You protect the company’s liquidity with a controls-first mindset and crisp documentation.
  • You bring service orientation to properties and partners, responding quickly and closing loops.
  • You’re proactive—spotting breaks before they become issues and offering practical fixes.

Nice To Haves

  • Hospitality experience is a plus (multi-property environment preferred).

Responsibilities

  • Daily Cash Control
  • Reconcile daily bank activity to maintain accurate balances in the tracking system.
  • Review prior-day and intraday balances across all accounts; proactively flag issues and exceptions.
  • Banking Operations
  • Set up and release daily wires, ACH, and internal bank transfers for multiple entities.
  • Open, maintain, and close hotel and corporate bank accounts; coordinate documentation with senior leadership, hotel teams, and banking partners.
  • Coordinate intercompany transfers, funding requirements, and debt service payments on schedule.
  • Merchant Services & Payments
  • Maintain multiple credit card merchant accounts per asset; coordinate with processors, banks, and PMS/POS vendors to install or update merchant IDs.
  • Ensure timely closure of bank and merchant accounts at management contract termination.
  • Controls, Compliance & Audit
  • Assist with cash-handling audits and remediation steps as needed.
  • Support covenant reporting, audit requests, and treasury-related documentation to sustain a strong control environment.
  • Forecasting & Analysis
  • Build and update cash forecasts; analyze trends, variances, and liquidity needs.
  • Assist in managing the P-Card program (user setup, limits, policy adherence, reporting).
  • Handle ad-hoc treasury projects for hotels and corporate leadership with speed and accuracy.
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