F014 - Treasury Analyst

Collaboredge Inc.
1dHybrid

About The Position

The Treasury Analyst will play a key role in managing cash flow, investments, and financial reporting. This position involves a variety of analytical, reporting, and administrative duties to ensure effective cash management and financial operations. The Treasury Analyst will support senior leadership with critical financial data, manage treasury-related databases, and contribute to the development and maintenance of financial policies and procedures.

Requirements

  • 3+ years’ experience in a treasury analyst or similar role
  • Strong analytical skills with the ability to interpret complex financial data and identify trends.
  • Proficiency in financial management systems and software, including Microsoft Excel and ERP/accounting systems.
  • Solid understanding of cash and investment accounting principles.
  • Able to develop and communicate reports vertically and horizontally in the organization
  • Excellent written and verbal communication skills.
  • Strong planning, organizational, and problem-solving abilities.
  • Ability to work independently and manage multiple tasks with minimal supervision.
  • Bachelor’s degree in Business, Finance, Accounting or related field

Responsibilities

  • Prepare and manage daily cash positions, short-term forecasts, and cash flow needs.
  • Reconcile cash accounts and transactions, including wire transfers and ACH payments, with general ledger postings.
  • Track and analyze cash and investment activity, ensuring accurate and timely reporting of financial information.
  • Develop and interpret critical analytics related to cash flow, investments, and other treasury-related data.
  • Prepare comprehensive reports on cash and investment activities, including the Cash Note Report, Investment Report, and cash flow projections.
  • Analyze financial records and data to identify trends, inefficiencies, and opportunities for improvement.
  • Manage and reconcile treasury databases and ensure alignment with operational teams.
  • Post entries to ERP/accounting systems in compliance with established guidelines.
  • Assist with the preparation of final reports, including data editing and the creation of charts and presentations.
  • Develop and update procedures and policies to reflect current processes and enhance operational efficiency.
  • Support other cash management functions and departmental projects as needed.
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