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Financial Analyst Treasury

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Job Description

Candidates must be authorized to work in the United States without the need for current or future visa sponsorship


Treasury Analyst – Job Description

Summary of Position


The Treasury Analyst will support the Treasury Department in managing liquidity, debt, investments, and treasury-related accounting and reporting. This role reports to the Treasury Manager, who oversees day-to-day treasury operations and strategic initiatives. The Treasury Analyst will contribute to both operational execution and analytical projects that enhance treasury efficiency and financial performance.


Principal Duties and Responsibilities


Liquidity & Cash Management

  • Analyze daily domestic bank balances to determine liquidity needs and set cash positions.
  • Prepare short-term and long-term cash forecasts; summarize and report findings to Treasury Manager and Director.


Investment Oversight

  • Monitor and manage the company’s investment portfolio to align with capital preservation, liquidity, and market return goals.


Debt & Compliance

  • Coordinate debt compliance and certifications with internal stakeholders and external trustees.
  • Manage debt payments, borrowing requests, and required notifications.


Reporting & Forecasting

  • Prepare annual budgets and monthly forecasts for Treasury-related P&L; conduct variance analysis and commentary.
  • Develop quarterly executive summaries for Treasury Management and the CFO.


Systems & Documentation

  • Maintain Treasury Workstation and collaborate with vendors to enhance functionality.
  • Manage bank documentation for account openings/closings and ensure KYC/FBAR compliance.
  • Maintain SOPs and process documentation.


Additional Responsibilities

  • Support the Treasury Manager and Director in special projects, process improvements, and strategic initiatives.


Minimum Requirements

  • Bachelor’s degree in Finance, Accounting, or a related field.
  • 5–7 years of relevant Treasury or Banking experience.
  • Strong analytical, verbal, and written communication skills.
  • High proficiency in Microsoft Office Suite (Excel, PowerPoint, Word).


Preferred Qualifications

  • Certified Treasury Professional (CTP) designation.
  • Strong understanding of accounting principles and financial statements.
  • Experience with Treasury Workstation systems (e.g., Kyriba, Reval, SAP).

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