Cambridge Associates is seeking a proactive, detail-oriented Treasury Specialist to support treasury operations across domestic and international entities. This is a high-visibility role responsible for supporting core cash management activities, payment execution, daily cash and balance reconciliations, recurring treasury reporting, cash forecasting support, banking operations, and audit support. The role requires strong attention to detail, sound judgment, and the ability to operate accurately in a fast-paced environment. This role offers a unique opportunity to gain exposure to international regions, operating structures, and treasury processes across the firm’s global footprint. The Treasury Specialist will work closely with Treasury, Tax, Payroll, Accounting, IT, and external banking partners to support timely, well-controlled treasury processes. This role is well suited for someone who can work effectively within established guidance and procedures, while also operating independently when needed. The successful candidate will be detail-oriented, dependable, and accountable, with the ability to follow instructions carefully, exercise sound judgment, and build trust through consistent execution and follow-through.
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Job Type
Full-time
Career Level
Mid Level