At Broadridge, we've built a culture where the highest goal is to empower others to accomplish more. If you’re passionate about developing your career, while helping others along the way, come join the Broadridge team. Broadridge is hiring! We’re seeking a Treasury Analyst will play a key role in managing the company’s global liquidity and cash flow position while supporting a wide range of treasury and finance initiatives. This role is responsible for developing accurate cash flow and liquidity forecasts, supporting capital markets activities, providing critical analysis and reporting that inform strategic decision-making and supporting global cash operations. The ideal candidate combines strong analytical and financial modeling skills with a high level of business acumen and personal accountability. This individual will collaborate across Treasury, CP&A, Accounting, and Business Unit Finance teams to optimize liquidity, enhance forecasting accuracy, and improve treasury processes through automation and data-driven insights. This is a highly visible role with exposure to senior management, offering the opportunity to lead cross-functional projects, strengthen internal and external stakeholder relationships, and contribute to the company’s overall financial strategy and performance.
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Job Type
Full-time
Career Level
Mid Level