The Senior Treasury Analyst is responsible for delivering strategic treasury capabilities that support the company’s financial objectives through efficient utilization of cash, management of financing activities, and implementation of risk mitigation strategies. This role partners closely with internal stakeholders, banking partners, and financial institutions to identify and implement innovative treasury solutions that support strategic goals, address risks, and capitalize on business opportunities. As a key member of the Treasury team, the Senior Treasury Analyst helps manage and oversee the company’s cash, banking relationships, and financial institution partnerships. The role combines strategic analysis with operational execution to ensure liquidity, optimize cash management processes, enhance controls, and support organizational growth. In this hybrid, you will be expected to work a minimum of 10 days per month from one of the following office locations: Madison, WI 53783; Boston, MA 0211 Internal candidates are encouraged to apply and should review the internal mobility guidelines in the hybrid policy reference guide for more information. #LI-Hybrid
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Job Type
Full-time
Career Level
Senior