Treasury Analyst
Minneapolis, Hennepin County, Minnesota, 55400, USA
Listed on 2026-09-10
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Finance & Banking
Financial Analyst, Corporate Finance, Financial Compliance, Risk Manager/Analyst
About Our Company
We’re a diversified financial services leader with more than $1.5 trillion in assets under management, administration and advisement as of year-end 2024. Our team of 22,000 people across 19 countries, serves more than 3.5 million individual, small business and institutional clients. We are a longstanding leader in financial planning and advice, a global asset manager and an insurer. Our unwavering focus on our clients and strong financial foundation connects each of our unique businesses – Ameriprise Financial, Columbia Threadneedle Investments and River Source Insurance and Annuities.
Here, we foster meaningful careers, invest in the future, and make a difference for clients, institutions and communities around the world.
Ameriprise has an exciting opportunity for a Treasury Analyst to join our team! This role is primary in the day-to-day cash management within the global Corporate Treasury Operations group which will perform daily cash management analysis, processing of domestic and international payments in various forms, cash forecasting and issue resolution while ensuring compliance with established policies, procedures and regulatory controls.
Key Responsibilities- Administer and analyze daily cash activity, cash flow reconciliations, and cash forecasting for all Ameriprise Financial corporate bank accounts by monitoring electronic files and business partner requests.
- Ensure that established compliance procedures and controls are being executed.
- Review and process all outgoing cash transfers to ensure prompt and accurate distribution.
- Communicate with internal and external business partners on inquiries, issues, and escalated requests.
- Cross-train for all related cash management functions to serve as an effective backup to the team as needed.
- Participate in both departmental (business continuity process and disaster recovery exercises, system upgrades) as well as Corporate projects as needed.
- Associate degree or equivalent 1-3 years of experience
- Minimum 2+ years experience exhibiting strong analytical skills throughout progression
- Proficient technical skills in Microsoft Office (Excel, Access and Word)
- Ability to multi-task under tight deadlines
- Strong interpersonal and communication (oral and written) skills to deal effectively with business partners
- Bachelors degree in Finance, Business Administration or a related field of study
- Prior Treasury Operations experience
- Experience processing of financial transactions, including domestic and FX payments, cash forecasting, and reconciliation
We are a client‑centric, relationship‑based business. Working together, in-person, is foundational to how we achieve results. By fostering a culture of face-to-face collaboration, idea sharing, productivity and personal connection, we deliver for our stakeholders - clients, advisors, employees and shareholders. Our employees work in the office at least four (4) days per week, with flexibility to work from home one (1) day per week.
Some roles may require additional in-office time or different in-office expectations, and specific requirements will be discussed during the hiring process.
Applicants must have a valid work authorization that does not now, or in the future, require visa sponsorship for employment in the United States (e.g., H-1B, F-1 CPT, F-1 OPT, TN).
Base Pay SalaryThe estimated base salary for this role is $62,300 - $85,700 / year. We have a pay-for-performance compensation philosophy. Your initial total compensation may vary based on job-related knowledge, skills, experience, and geographical work location. In addition, most of our roles are eligible for variable pay in the…
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