Senior Treasury Analyst
Job in
Morristown, Morris County, New Jersey, 07960, USA
Listed on 2026-07-07
Listing for:
Soyventis North America LLC
Full Time
position Listed on 2026-07-07
Job specializations:
-
Finance & Banking
Financial Analyst, Corporate Finance, Risk Manager/Analyst, Financial Reporting
Job Description & How to Apply Below
Location: Morristown, New Jersey
Department: Finance
Reports To: Senior Finance Manager (FP&A)
Salary Range: $85,000 - $110,000
Position OverviewSoyventis North America LLC is seeking a Senior Treasury Analyst to support the company's liquidity management, cash flow forecasting, working capital optimization, and credit facility administration.
Operating in a working capital-intensive chemical distribution environment, this role will partner with Finance, Accounting, Operations, and banking partners to ensure effective cash management, financing support, and treasury reporting. The position reports directly to the Senior Finance Manager (FP&A).
Key Responsibilities Cash Management & Forecasting- Monitor daily cash positions and liquidity requirements.
- Prepare and maintain short- and medium-term cash flow forecasts.
- Support cash transfers and funding activities across the business.
- Analyze cash flow trends and recommend improvements to forecasting accuracy.
- Support administration of revolving credit facilities and lender reporting requirements.
- Prepare borrowing base reports, borrowing requests, and covenant tracking schedules.
- Monitor credit line utilization, financing costs, and reporting deadlines.
- Coordinate with banking partners on treasury operations and account administration.
- Partner with AR, AP, and Operations teams to improve working capital performance.
- Analyze receivables, payables, inventory, and cash conversion cycle metrics.
- Prepare treasury reports, liquidity analyses, and management dashboards.
- Support financing, liquidity, and cash management initiatives.
- Assist with monitoring foreign exchange and interest rate exposures.
- Maintain treasury documentation and support approved risk management activities.
- Support internal controls over cash management, banking access, and payment processes.
- Participate in treasury process improvement and automation initiatives.
- Bachelor’s degree in finance, Accounting, Economics, or a related field.
- 3–5 years of experience in treasury, corporate finance, banking, or cash management.
- Experience with cash flow forecasting, working capital analysis, and treasury operations.
- Strong Excel and Financial Analysis Skills.
- Experience with ERP systems; SAP Business One experience preferred.
- Excellent analytical, organizational, and communication skills.
- Experience with revolving credit facilities, borrowing base reporting, or asset-based lending.
- Exposure to foreign exchange, trade finance, or treasury risk management.
- Experience in distribution, manufacturing, chemical, or supply chain-related industries.
- Certified Treasury Professional (CTP) designation is a plus.
- Medical, Dental, and Vision Insurance
- 401(k) with Company Match (up to 4%)
- Paid Time Off and Holidays
- Company-Paid Life Insurance
- Employee Assistance Program (EAP)
Position Requirements
10+ Years
work experience
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