Treasury Lead Analyst (hybrid)

BroadridgeTown of Hunter, NY
$80,000 - $100,000Hybrid

About The Position

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.

Requirements

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field required.
  • 2+ years of experience in Treasury, Corporate Finance, FP&A, or a related role.
  • Strong analytical and quantitative skills with a high attention to detail.
  • Proficiency in Microsoft Excel, PowerPoint, and other Microsoft Office applications; experience with treasury systems a plus.
  • Demonstrated ability to build and interpret financial models and perform scenario analysis.
  • Strong communication and presentation skills, with the ability to convey complex financial concepts to senior leaders.
  • Proven ability to manage multiple priorities and meet deadlines in a fast-paced environment.
  • Ability to work independently, communicate effectively and concisely, demonstrate high level of personal accountability, lead collaboratively, and apply critical thinking and sound judgment when faced with unstructured situations.

Nice To Haves

  • experience with treasury systems a plus

Responsibilities

  • Develop and maintain accurate short- and long-term cash flow and liquidity forecasts, ensuring alignment with internal stakeholders and evolving business trends.
  • Support the execution of capital markets initiatives including debt issuance, share repurchase, short-term borrowing, and hedging strategies.
  • Participate and support day to day global cash operations.
  • Monitor and analyze actual vs. forecasted cash flows and identify variances and trends, recommend and implement strategies to optimize regional liquidity and working capital.
  • Prepare and analyze monthly, quarterly, and annual Treasury reports, and prepare commentaries for senior management.
  • Assist in financial modeling and scenario analysis to support management decision-making and strategic planning.
  • Identify opportunities to enhance treasury processes through automation, data analytics, and system improvements.
  • Support treasury systems administration, bank relationship management, and audit requests as needed.
  • Lead and support cross-functional initiatives with Business Unit Finance, FP&A, and Corporate Accounting.
  • Develop and build strong partnerships with key internal and external Treasury contacts and stakeholders.

Benefits

  • Please visit www.broadridgebenefits.com for more information on our comprehensive benefit offerings for this role.
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