Senior Analyst Treasury
Listed on 2026-06-14
-
Finance & Banking
Financial Analyst, Corporate Finance, Financial Manager, Financial Reporting
At JSX, we’re not just a lifestyle carrier – we’re a lifestyle employer. Here, entrepreneurship meets determination, and excellence is our standard. We believe that the journey is just as important as the destination, and every day we strive to create a Joyful, Simple eXperience for our Customers. Join us, and find your runway to growth, innovation, and success.
AboutThe Role
As a Senior Analyst, Treasury, you will play a critical role in managing JSX’s day‑to‑day treasury operations, ensuring the company’s financial resources are effectively managed, safeguarded, and optimized. You’ll partner closely with Finance leadership, Accounting, Legal, and external financial institutions to support cash management, banking relationships, escrow administration, merchant processing, and liquidity monitoring. Your work will directly support operational efficiency, financial accuracy, and the company’s ability to scale.
ADay In The Life
- Banking & Financial Institution Management:
Serve as the primary day‑to‑day contact for banking partners, managing relationships, account structures, authorized signers, and documentation. Coordinate account openings, closures, and maintenance activities. - Cash Management & Forecasting:
Manage daily cash positioning across operating and escrow accounts. Prepare short‑term and rolling cash flow forecasts, monitor liquidity levels, and elevate risks or constraints as needed. - Escrow & Lease Management:
Own the operational management of escrow accounts, including deposits, withdrawals, reconciliations, and reporting. Manage lease‑related cash obligations such as rent payments, security deposits, and restricted cash tied to operating and real‑estate leases. Ensure compliance with DOT Part 380 escrow requirements. - Merchant Processing Oversight:
Manage relationships with merchant processors and payment service providers. Monitor settlement timing, fees, chargebacks, collections activity and disputes in partnership with Accounting, and support platform evaluations or transitions. - Treasury Operations & Controls:
Execute treasury transactions including wires, ACH payments, and intercompany transfers. Maintain treasury processes, controls, and audit‑ready documentation supporting all activities. - Reporting & Analysis:
Prepare treasury dashboards and reporting for Finance leadership and executive management. Support internal and external audits by providing documentation and responding to requests. - Cross‑Functional
Collaboration:
Partner with Accounting, Legal, and Finance teams to ensure alignment on financial reporting, compliance, and operational priorities. - Additional Support:
Assist with other duties as assigned to support business continuity and operational success.
- Be Part of a High‑Impact Function:
Your work directly supports liquidity, financial stability, and operational execution across JSX. - Work Cross‑Functionally:
Collaborate with Finance leadership, Legal, Accounting, and external partners in a highly visible role. - Make a Tangible Impact:
Your expertise in treasury operations will help drive efficiency, strengthen controls, and support strategic growth. - Grow Your Career:
Gain exposure to complex treasury activities including escrow management, lease obligations, and merchant processing. - You’re More Than a Number:
At JSX, you’re a valued Crew member contributing to meaningful outcomes every day.
- Detail‑Oriented:
You understand that accuracy and strong controls are critical in managing financial resources. - Analytical:
You can interpret financial data, identify trends, and proactively manage liquidity. - Collaborative:
You work effectively across teams and with external partners to drive results. - Organized:
You manage multiple priorities while maintaining high standards and meeting deadlines. - Proactive:
You anticipate risks, identify opportunities for improvement, and take ownership of outcomes. - Adaptable:
You thrive in a fast‑paced environment and adjust quickly to changing business needs.
- Bachelor’s degree in Finance, Accounting, Economics, or a related field
- 5–8 years of experience in corporate finance…
(If this job is in fact in your jurisdiction, then you may be using a Proxy or VPN to access this site, and to progress further, you should change your connectivity to another mobile device or PC).