Senior Treasury Analyst
Listed on 2026-08-12
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Finance & Banking
Financial Analyst, Financial Compliance, Corporate Finance, Risk Manager/Analyst
This is a newly created role — you'll shape it rather than inherit it. Reporting to the Treasury Manager, the Senior Treasury Analyst becomes the operational lead for the Treasury function: owning daily cash operations across multiple business segments of a publicly traded company, serving as the primary resource for treasury operations, and acting as the go-to liaison with our banking partners.
Real ownership starts on day one, and so does leadership. You'll mentor and develop our Treasury Analyst immediately — no waiting for a management title — and carry a genuine improvement mandate: automation, standardization, and future treasury technology initiatives are part of the job description, not a side project. Your ownership of the day-to-day frees the Treasury Manager to focus on strategic initiatives, with visible sponsorship from both the Treasury Manager and the VP & Treasurer.
This position was created to build succession depth in the function, with a defined career path from Senior Analyst toward Treasury Manager and, longer term, Treasury Director. If you're a treasury professional ready to step into genuine ownership and grow with the function, this role was built for you.
What You’ll Do- Manage daily cash operations — cash positioning, cash reporting, liquidity management, short-term borrowings, and investments — across multiple business segments.
- Process and oversee treasury transactions, including wire transfers, ACH payments, stop payments, positive pay exceptions, and other banking activities.
- Administer and monitor bank connectivity and file transmission processes to ensure secure, timely processing of treasury transactions.
- Manage the Company’s corporate credit card program, including card administration, reporting, and annual PCI compliance activities.
- Prepare, analyze, and distribute daily and periodic cash reports to Treasury and Finance leadership.
- Serve as the primary liaison with banking partners and external vendors to resolve cash management, banking, and payment-related issues.
- Collaborate with Accounting, Accounts Payable, Payroll, Tax, and other departments to research and resolve treasury-related inquiries.
- Maintain and continuously improve treasury policies, procedures, and documentation; ensure compliance with SOX controls and internal control requirements.
- Support internal and external audits and lender compliance activities, including collateral reporting and other financing requirements.
- Provide daily coaching and technical guidance to the Treasury Analyst, promoting consistency and best practices across treasury operations.
- Identify and lead opportunities to improve treasury processes through automation, standardization, and system enhancements, including treasury-related projects and system implementations.
We’ve defined this role around outcomes, not just activities. By the end of your first year, you will:
- Independently manage daily treasury operations with minimal oversight, serving as the primary operational resource for the Treasury function.
- Lead at least one treasury process improvement or automation initiative that delivers measurable efficiency gains.
- Strengthen treasury documentation, SOX controls, lender reporting, and audit support.
- Accelerate the Treasury Analyst's development through daily mentorship and technical coaching.
- Free the Treasury Manager to focus on strategic initiatives — liquidity planning, banking relationships, and treasury technology projects — by owning the day-to-day.
Specific Qualifications
Required- Bachelor's degree in Accounting, Finance, Business Administration, or a related field.
- 3–6 years of experience in treasury, accounting, finance, or a related discipline.
- Strong analytical, problem-solving, and critical thinking skills, with excellent organization and the ability to manage multiple priorities and deadlines.
- Demonstrated ability to work independently while collaborating effectively within a team.
- High level of initiative, professionalism, and attention to detail, with strong written and verbal communication skills.
- Commitment to continuous learning and professional development.
- Corporate treasury or cash management experience, including bank file transmissions and bank connectivity.
- General accounting knowledge and experience working within a SOX‑controlled, public‑company environment.
- Experience with ERP systems (Microsoft Dynamics a plus), treasury management systems, and online banking platforms.
- Advanced proficiency in Microsoft Excel and PowerPoint.
- Certified Treasury Professional (CTP) designation, or a willingness to pursue certification
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