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Senior Treasury Analyst

Job in Glen Allen, Henrico County, Virginia, 23060, USA
Listing for: Century Distribution Systems, Inc
Full Time position
Listed on 2026-10-04
Job specializations:
  • Finance & Banking
    Financial Compliance, Banking & Finance, Corporate Finance, Financial Analyst
Salary/Wage Range or Industry Benchmark: 90000 - 140000 USD Yearly USD 90000.00 140000.00 YEAR
Job Description & How to Apply Below

Description

ESSENTIAL FUNCTIONS AND DUTIES Cash Management & Forecasting
  • Prepare and maintain short-term and long-term cash flow forecasts for domestic and international entities.
  • Monitor daily global cash positions and liquidity requirements.
  • Analyze cash flow trends and provide recommendations to optimize working capital and liquidity.
  • Assist in developing strategies to maximize cash utilization and minimize borrowing costs.
Global Banking Administration
  • Serve as the primary administrator for domestic banking platforms and treasury portals.
  • Manage banking relationships and coordinate communication with domestic and assist with international banking partners.
  • Coordinate bank account openings, closures, modifications, and related documentation.
  • Maintain bank account inventories and ensure records remain accurate and up to date.
  • Administer user access, security controls, and banking authorizations in accordance with company policies.
  • Manage signer maintenance activities, including additions, removals, periodic reviews, and supporting corporate resolutions.
Treasury Operations & Reporting
  • Prepare monthly treasury reporting packages, including cash position reporting, liquidity analysis, debt activity, and banking metrics.
  • Support treasury-related audit requests, bank confirmations, and compliance documentation.
  • Maintain treasury policies, procedures, and internal control documentation.
  • Monitor compliance with banking agreements and corporate authorization requirements.
Foreign Exchange & International Treasury Support
  • Monitor foreign currency exposures and track foreign exchange gains and losses.
  • Assist in coordinating foreign exchange transactions and hedging activities, as appropriate.
  • Support international entities with local banking requirements, treasury initiatives, funding requests, and cash management activities.
  • Work closely with international finance teams to improve visibility into global cash positions and funding needs.
Intercompany Funding Administration
  • Coordinate and maintain documentation related to intercompany loans, capital contributions, dividends, and other funding activities.
  • Monitor intercompany balances and support timely settlement and reconciliation.
  • Assist with global cash movement strategies and cross-border funding requirements.

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ADDITIONAL TASKS AND RESPONSIBILITIES Accounts Payable Support
  • Review, collect, and process new vendor and updated vendor setup requests, ensuring compliance with company policies and internal controls.
  • Maintain vendor tax documentation, updating W9’s, Preparing and submitting annual 1099 reporting requirements.
  • Assist Accounts Payable with treasury-related inquiries and special projects as needed.
Continuous Improvement
  • Identify and implement process improvements to increase efficiency and strengthen treasury and AP operations.
  • Support treasury management system initiatives, banking projects, and automation efforts.
  • Prepare ad hoc financial analyses, reports, and presentations for management.
  • Participate in special projects related to treasury, banking, acquisitions, entity formations, and international expansion activities.

________________________________________

Requirements

JOB REQUIREMENTS Education & Experience
  • Bachelor's degree in Finance, Accounting, Business Administration, Economics, or a related field.
  • Minimum of 5 years of experience in treasury, banking, corporate finance, cash management, or accounting.
  • Experience supporting multinational operations and international banking relationships preferred.
  • Experience with cash forecasting, treasury reporting, liquidity management, and bank administration.
Professional Certifications
  • Certified Treasury Professional (CTP) designation preferred.
  • CPA, CFA, or other relevant…
Position Requirements
10+ Years work experience
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