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Senior Treasury Analyst

Remote / Online - Candidates ideally in
New York, New York County, New York, 10261, USA
Listing for: Icon Parking
Remote/Work from Home position
Listed on 2026-07-31
Job specializations:
  • Finance & Banking
    Financial Analyst, Financial Reporting, Financial Compliance, Corporate Finance
Salary/Wage Range or Industry Benchmark: 110000 - 170000 USD Yearly USD 110000.00 170000.00 YEAR
Job Description & How to Apply Below
Location: New York

HVPT ICON Parking is seeking a Senior Treasury Analyst to support the organization’s cash management and banking operations across a multi-state portfolio of locations. This role is critical in ensuring optimal liquidity, accurate cash forecasting, and strong financial controls in a fast-paced, high-volume environment.

The ideal candidate brings strong treasury skills, a focus on optimizing existing banking and treasury operations and the ability to develop and manage cash forecasts for a rolling 4 month  addition, this person will demonstrate the ability to navigate complex financial structures while partnering cross-functionally with the Executive Team, Accounting, FP&A, and Operations.


** This role is in office with flexibility to work from home two days per month **

Key Responsibilities Cash Management & Forecasting
  • Monitor daily cash positions across 400+ bank accounts and entities to ensure operating liquidity both at a location level and across the company
  • Prepare and maintain short (4 week) and long-term (4 month) cash flow forecasts and drivers of variances in those forecasts
  • Optimize liquidity and ensure sufficient funding for operational needs
Banking & Transactions
  • Manage banking relationships, including account onboarding, maintenance and closing as necessary
  • Manage all banking access and conduct monthly audits of users and privileges granted
  • Initiate and approve wires, ACH payments, and intercompany transfers based on existing authority and separation of duties across the organization
  • Monitor and resolve bank-related issues, discrepancies, and fees
  • Optimize the current bankingoperations via bank products including sweeps, zero balance funding and overnight optimization of cash
  • Review and sign off on Accounting cash reconciliations monthly to ensure timely and accurate bank reconciliations and resolution / recording of transactions
  • Establish and maintain strong internal controls over cash handling and disbursements
  • Assist with audit requests and ensure compliance with internal policies and external requirements
Debt & Capital Structure Support
  • Assist in managing debt schedules, interest payments, and covenant tracking
  • Prepare reporting for lenders, ownership groups, and internal leadership
Process Improvement & Reporting
  • Identify and implement process improvements to enhance efficiency and accuracy
  • Develop dashboards and reporting to provide visibility into cash performance and trends
  • Support integration efforts across systems (e.g., payroll, ERP, banking platforms)
Qualifications
  • Bachelor’s degree in Finance or Accounting
  • 4-6 years of treasury, finance, or accounting experience (multi-entity or multi-location experience preferred) with a minimum of 2 years in treasury operations
  • Strong understanding of cash flow forecasting, banking operations, and financial controls
  • Experience with ERP systems (e.g., Net Suite) and treasury/banking platforms
  • Ability to manage multiple priorities in a fast-paced environment
  • Strong attention to detail and problem-solving skills
  • Analytical and data-driven decision-making
  • Ability to work cross-functionally and influence stakeholders
  • High level of integrity and accountability
Preferred Qualifications
  • Experience in a high-volume, multi-site environment (e.g., parking, real estate, retail, or hospitality)
  • Exposure to private equity-backed organizations
  • Familiarity with debt structures, covenants, and lender reporting
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Position Requirements
10+ Years work experience
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