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Senior Treasury Analyst
Job in
Tulsa, Tulsa County, Oklahoma, 74134, USA
Listed on 2026-06-01
Listing for:
QuikTrip
Full Time
position Listed on 2026-06-01
Job specializations:
-
Finance & Banking
Corporate Finance, Financial Analyst
Job Description & How to Apply Below
- Lead cash flow forecasting and liquidity analysis that directly impacts the company's financial strategy
- Build and maintain reporting and dashboards that directly inform management's decision-making
- Own and grow our Virtual Credit Card Program, driving vendor adoption of this payment method
- Identify and drive efficiencies across the entire Treasury team to streamline operations and improve performance
- Mentor and develop Treasury staff, helping build a stronger, more capable team
- Intermediate to advanced Excel skills, with a drive to keep growing
- Experience in cash flow forecasting, liquidity analysis, and debt/covenant monitoring
- Solid background with ERP systems (payables, receivables, general ledgers) and expense tools like Concur
- Hands-on budgeting and financial reporting experience
- Sharp analytical thinking and strong attention to detail
- Clear communicator, both written and verbal, with the confidence to present findings to leadership
- A collaborative mindset and ability to build strong relationships across departments and with external partners like banks and vendors
Primary Purpose of Job:
The Sr. Treasury Analyst monitors, analyzes and forecasts trends related to funding, liquidity, cash management and investment activities to help facilitate daily treasury operations. Provides data and analysis on business issues, planning, budgeting and forecasting for management's use in strategic and tactical decision making, including forecasting of cash needs for the company and overseeing the preparation and analysis of the Treasury annual budget.
Provides support to management and peers on special projects. Serves as backup for other Treasury functions.
Major functions:
1. Monitor and analyze Quik Trip's cash flows, debt and cash investments. (20%)
a. Produce short-term and long-term cash flow forecasts to enhance visibility into cash balances and optimize working capital.
b. Analyze risk and return and work with Treasury management and peers to execute optimal short-term borrowing or investment strategies based on the organization's projected cash position.
c. Work with other departments to understand cash projections and mitigate forecasting variances; compare forecast to actual results to refine forecast methods.
d. Responsible for annual maintenance and update of Quik Trip's investment policy and monitors adherence to policy.
2. Coordinate, develop, analyze and maintain Treasury models, and reporting solutions.(45%)
a. Develop, enhance, and support BI applications (e.g. reports, dashboards, data visualizations) in support of Treasury needs.
i. Analyze and distribute Treasury dashboard with daily and monthly performance metrics.
ii. Calculate, forecast and report on projected facility position using trends, projected capital expenditures, store growth, cost of gas and other indicators.
iii. Calculate, report and forecast Quik Trip's debt position, including covenant compliance, ratio monitoring etc.
iv. Prepare and assist others with analyzing monthly business performance review presentations.
v. Various other reports request by management.
b. Gather and document Treasury team feedback and suggestions for data reporting improvement.
c. Ensure Reporting Integrity. Responsible for the format, appearance, and edits of Treasury reports and dashboards.
d. Resolve BI issues utilizing excellent customer service, problem solving, and technical thinking/reasoning skills following established support process and metrics guidelines.
e. Primary BI technology stack in use by Treasury is Microsoft's Power BI and Excel BI components. Other technologies could be required due to changing business or technical needs.
3. Lead and/or provide support and expertise to management in relation to Treasury strategy and initiatives. (20%)
a. Assist in creation of business…
Position Requirements
10+ Years
work experience
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