Senior Treasury Analyst — Cash Forecasting & Automation
Listed on 2026-10-07
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Finance & Banking
Financial Analyst, Corporate Finance, Financial Reporting, Accounting & Finance
Atrium Staffing LLC is seeking a Senior Treasury Analyst to lead cash forecasting, liquidity monitoring, and daily treasury operations across the organization.
You will build and refine financial models, analyze working capital, manage bank relationships, and partner with FP&A and accounting to optimize cash flow and drive efficiency.
This role requires strong Excel skills, attention to detail, and the ability to work independently in a fast-paced environment.
The following opportunity is for a Senior Treasury Analyst — Cash Forecasting & Automation with Atrium Staffing LLC.
Please review the full job details above before applying.
If your experience matches this role, we encourage you to apply.
All applications are reviewed carefully by our team.
The position is based in Boston, MA, United States.
This opportunity is part of our work in Finance.
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