Treasury Analyst
Listed on 2026-03-01
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Finance & Banking
Risk Manager/Analyst, Corporate Finance, Financial Analyst, Financial Manager
Duties:
The Senior Treasury Analyst is responsible for the daily oversight and execution of the company's treasury operations, including cash positioning, liquidity management, bank relationship maintenance, and support for insurance and credit facilities. This role plays a critical function in ensuring efficient use of company cash, managing letters of credit, and settling foreign exchange transactions in accordance with policy.
Cash & Liquidity Management
Monitor daily cash positioning and manage short-term liquidity needs across domestic and international accounts.
Ensure adequate funding for operations and execute internal transfers to optimize cash usage.
Prepare and maintain the daily cash forecast and quarterly cash flow projections.
Banking & Treasury OperationsManage and maintain banking relationships, signatory authorities, and online banking platform access.
Oversee treasury controls and compliance, ensuring adherence to internal policies and SOX requirements.
Administer and review corporate bank account structures and fees.
Confirm and settle foreign exchange (FX) trades to support business operations
Work closely with accounting to ensure proper recording and reconciliation of FX transactions.
Letters of Credit & Trade FinanceCoordinate the issuance, amendment, and cancellation of standby and commercial letters of credit.
Liaise with internal teams and banks to support trade-related finance instruments.
Insurance & Risk ManagementSupport the company's insurance program by coordinating insurance renewals, audits, and claims as needed.
Manage the issuance of Certificates of Insurance (COIs) for customers, vendors, or other stakeholders.
Partner with legal and procurement to ensure contractual insurance requirements are met.
Reporting & ComplianceSupport treasury-related month-end close activities and account reconciliations.
Assist with audit requests and provide documentation related to treasury operations.
Maintain documentation of treasury procedures and policies.
Skills:Bachelor's degree in Finance, Accounting, or related field; CTP preferred.
3+ years of experience in corporate treasury or finance roles.
Strong understanding of cash management, banking systems, insurance coordination, and trade finance.
Proficient in Microsoft Excel; experience with treasury management systems (TMS) and ERP platforms preferred.
Excellent analytical, organizational, and communication skills.
High level of integrity and attention to detail.
Keywords:Hybrid with 2-3 days in the Santa Clara office - no fixed days, but should be available to be on-site at the required number of days
Initial Assignment Length:6 months with possibility of extension depending on performance and team fit
Notes:Advance proficiency with Google Suite, Excel, banking portals, Netsuite and SAP
REQUIRED:
experience at large, multinational corporations.
Experience only or mostly at domestic companies will not be a great fit.
Strong analytical and critical thinking skills with precise attention to detail
Effective written and verbal communication skills
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