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Treasury Analyst

Job in Coral Gables, Miami-Dade County, Florida, 33114, USA
Listing for: University of Miami
Full Time, Seasonal/Temporary position
Listed on 2025-12-08
Job specializations:
  • Finance & Banking
    Financial Analyst, Corporate Finance, Financial Consultant
Salary/Wage Range or Industry Benchmark: 50000 - 70000 USD Yearly USD 50000.00 70000.00 YEAR
Job Description & How to Apply Below
Treasury Analyst page is loaded## Treasury Analyst remote type:
On-Site locations:
Coral Gables, FLtime type:
Full time posted on:
Posted Yesterday job requisition :
R
** Current Employees:
** If you are a current Staff, Faculty or Temporary employee at the University of Miami, please click  to log in to Workday to use the internal application process. To learn how to apply for a faculty or staff position, please review this .The Treasury Analyst assists in the management of the University’s financial assets and liabilities, focusing on cash flows, investments, merchant services, and risk management.

They analyze financial data, create forecasts, and develop strategies to optimize financial operations and ensure compliance. Key responsibilities include cash forecasting, investment analysis, risk assessment, and maintaining financial records. The generalist role will support the larger Investments & Treasury team and also serve as a point person in the University’s banking relationships to ensure competitive rates across its money-market portfolio.

The Treasury Analyst will report to the Senior Cash Manager and ultimately to the Executive Director of Treasury. Analysts must have a strong work ethic, attention to detail, quantitative and analytic skills, the ability to work in teams, self-motivation, good written and communication skills, attention to detail, and an interest in financial management.
* Prepare and deliver treasury-related analytical reports, including cash position summaries and investment performance reports.
* Generating sources and uses recommendations given projected near- and medium-term cash flows.
* Consistently execute and manage the daily cash positioning process.
* Enters wire transfers and wire templates for approval.
* Assist with the monthly cash forecasting activities, including the corresponding actuals to forecast variance report.
* Analyze monthly bank account fees and statements versus quoted bank pricing.
* Analyze monthly merchant services fees, report on fee drivers and increases / decreases in fees.
* Monthly analysis and maintenance of Merchant Service IDs (MIDS) and merchant service gateways.
* Able to work with ERP and payment systems like Workday, and actively manages users on such systems
* Monitoring vendor payments and wires and associated rebates.
* Analysis of bank account activity to determine which banking services are being fully/not-fully utilized.
* Manage the University’s banking relationships to ensure competitive rate offerings and affiliated interest income.
* Support the creation, implementation, and management of bank accounts and working capital investment accounts.
* Maintain bank account documentation, authorized signatory records, and legal documentation related to external and internal audit requirements.
* Verify that all transactions comply with internal controls, financial policies and procedures.
* Research trends in banking, cash forecasting, merchant services and economic trends.
* Assist the Controller’s group as needed to provide audit support and facilitate month-end closing.
* Assist with scheduling and coordinating cash pick-ups across University academic and medical facilities.
*** This list of duties and responsibilities is not intended to be all-inclusive and may be expanded to include other duties or responsibilities as necessary.
***** CORE QUALIFICATIONS
***
* Education:

** Bachelor’s degree in business administration, accounting, economics or a related field.
** Certification and Licensing:
** Professional certifications like a CPA or a Certified Treasury Professional (CTP) preferred but not required.
*
* Experience:

** Minimum 2 years of relevant experience required.
** Knowledge, Skills and Attitudes:
*** Knowledge of generally accepted accounting procedures and principles.
* Knowledge of budget control methods, policies, and procedures.
* Ability to prepare financial and accounting records.
* Ability to analyze, consolidate, and interpret accounting data.
* Demonstrated quantitative and analytic skills.
* Proficient with computer programs, Excel, PowerPoint, Internet research.
* Good written and oral skills.
* Strong numeric and modeling skills
* Strong…
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