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Treasury Analyst II - Treasury Management

Remote / Online - Candidates ideally in
Tempe, Maricopa County, Arizona, 85285, USA
Listing for: Edward Jones
Remote/Work from Home position
Listed on 2026-01-11
Job specializations:
  • Finance & Banking
    Financial Analyst, Risk Manager/Analyst
Job Description & How to Apply Below

This job posting is anticipated to remain open for 30 days, from 26-Nov-2025. The posting may close early due to the volume of applicants.

Join a financial services firm where your contributions are valued. Edward Jones is a Fortune 500 company where people come first. With over 9 million clients and 20,000 financial advisors across the U.S. and Canada, we’re proud to be privately-owned, placing the focus on our clients rather than shareholder returns.

Behind everything we do is our purpose:
We partner for positive impact to improve the lives of our clients and colleagues, and together, better our communities and society. We are an innovative, flexible, and inclusive organization that attracts, develops, and inspires performance excellence and a sense of belonging.

People are at the center of our partnership. Edward Jones associates are seen, heard, respected, and supported. This is what we believe makes us the best place to start or build your career.

View our Purpose, Inclusion and Citizenship Report.

¹Fortune 500, published June 2024, data as of December 2023. Compensation provided for using, not obtaining, the rating.

Team Overview

The Treasury department is responsible for managing the liquidity of the firm and ensuring the strength of its balance sheet. As part of that objective, the department is responsible for all cash activities of the firm, borrowing and investment to meet cash needs and managing bank relationships for all credit and cash services.

All firm settlements with trading partners and clearing houses, as well as all intercompany and interbank transfers are managed by the Treasury department, as are investing excess operational cash. The department is also responsible for risk oversight and control to protect the assets of the firm and support the growth objectives.

What You Will Do

Treasury currently has an opening for a Treasury Analyst II. The Treasury Analyst II will support firm’s daily cash positioning, manage reporting and transactional risks through bank account reconciliations, investing excess funds (both domestic and international), and develop technical expertise in the firm’s treasury workstation. The analyst will also support treasury projects, cross-divisional and firm-strategic efforts.

Key Responsibilities
  • Monitor and manage daily cash flows to ensure adequate liquidity across multiple operating entities
  • Facilitate execution of funds transfers, including thorough understanding of the regulatory rules surrounding the transfer of funds in 15c3 accounts
  • Identify short term cash investment opportunities while managing credit and liquidity risks across the firm’s investment portfolio
  • Prepare and deliver treasury related reports, including cash flow forecasts, variance analysis, debt compliance, and investment performance
  • Leverage treasury management systems (TMS) and ERP platforms to automate workflows and enhance reporting capabilities
  • Maintain communication with banking relationships, identify and implement best practices to enhance efficiency and accuracy in treasury operations
What You Will Need
  • Bachelor’s degree in related field
  • 3+ years of experience in Treasury, Cash Management function is preferred
  • Certified Treasury Professional (CTP) designation or working towards designation
  • Working knowledge of banking, cash/treasury management, brokerage industry operations preferred
  • Proficiency in Microsoft Office Suite, advanced Excel skills preferred
  • Continuous improvement mindset, driven to explore opportunities for process improvements that address short term needs while moving us closer to a longer-term vision
What Could Set You Apart
  • Experience with SQL, Power BI or other data extraction and analytics tools
  • Working knowledge of People Soft Financial, One Stream, G-Treasury or another treasury management systems is also a plus
Important Information

Associate's working hours must align to 8 am to 5 pm Central standard time.

Candidates that live within a commutable distance from our Tempe, AZ and St. Louis, MO home office locations are expected to work in the office three days per week, with preference for Tuesday through Thursday.

Current home-based associates: even as a hybrid posted…

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