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Treasury Analyst Jobs (Hybrid work)

12 Job Offers

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Treasury Balance Sheet Management Senior Analyst
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Join Citi's Corporate Treasury in Budapest as a Senior Analyst for Balance Sheet Management. You will safeguard the risk & control environment, focusing on liquidity, regulatory metrics, and balance sheet oversight. This role requires 5+ years in Treasury/Finance, strong analytical skills, and fl...
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Hungary , Budapest
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Citi
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Treasury Sr. Analyst
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Seeking a Treasury Senior Analyst in Heredia, Costa Rica. This role requires 5-8+ years in financial services, expertise in capital planning, and model risk management. You will set strategic direction, resolve complex issues, and integrate business architecture. We offer an equal opportunity wor...
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Costa Rica , Heredia
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Not provided
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Citi
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Junior Treasury Analyst
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Launch your finance career at Fever, a global leader in live entertainment. As a Junior Treasury Analyst in Madrid, you'll support cash flow, financial expansion, and treasury management for the global group. The role requires a finance degree, 0-3 years' experience, advanced Excel skills, and bi...
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Spain , Madrid
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Not provided
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Fever
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Senior Treasury Analyst
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Join a leading Canadian company in Saint-Laurent as a Senior Treasury Analyst. You will manage daily cash, optimize processes with automation/AI, and integrate new entities from M&A activity. The role requires 3-5 years' treasury experience, fluency in English/French, and proficiency in Kyriba an...
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Canada , Saint-Laurent
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75000.00 - 100000.00 CAD / Year
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Randstad
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Junior Treasury Analyst
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Join Mileway's Treasury team in London's West End as a Junior Treasury Analyst. You will manage derivative portfolios, support strategic hedging, and analyze financial risks using tools like Power BI. This role requires 2-3 years of finance experience, a relevant degree, and offers hybrid work wi...
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United Kingdom , London West End
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Mileway
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Fund Transfer Pricing & Treasury Risk Reporting - Senior Analyst
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Join our Treasury team in Mumbai as a Senior Analyst specializing in Fund Transfer Pricing & Risk Reporting. You will monitor daily FTP processes, produce key risk metrics like DV01, and develop regulatory reports. This role requires 4+ years of financial industry experience, strong analytical sk...
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India , Mumbai
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Citi
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Financial Analyst – Treasury
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Launch your high-level finance career as a Treasury Analyst in New York. Gain broad exposure to cash management, forecasting, and a $5B+ credit facility. Ideal candidates have 1-3 years in finance/accounting and seek a dynamic role with 401k matching and Summer Fridays.
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United States , New York
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75000.00 - 90000.00 USD / Year
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Coty Inc.
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Treasury Analyst - Cash Management
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Seeking a detail-oriented Treasury Analyst for cash management in Chicago. You will handle daily payment processing, bank reconciliations, and SAP integration. The role requires 2-5 years of treasury experience and proficiency in Excel. We offer full benefits, a bonus, and 401(k) matching.
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United States , Chicago
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85000.00 - 86000.00 USD / Year
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Robert Half
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Senior Treasury Analyst
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Join our team in Hollerich, Luxembourg, as a Senior Treasury Analyst. You will manage global liquidity, execute FX deals, and oversee payment cycles in a hybrid role. We seek an expert to drive process improvements and mentor junior colleagues. Enjoy benefits like a professional growth budget and...
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Luxembourg , Hollerich
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PPRO GmbH
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Treasury Analyst
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Join SIG as a Treasury Analyst and support global treasury operations, including liquidity planning, payments, and FX hedging. Utilize your 1-3 years of finance experience and fluency in English in a dynamic, international environment. Benefit from competitive pay, hybrid work, and coaching from ...
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SIG Group
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Treasury Analyst, Accounting
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Join Heartland Dental's growing finance team as a Treasury Analyst in Effingham. You will manage daily cash positions, wire transfers, forecasting, and bank relationships. This role requires an Associate's in Accounting, expertise in bank processes, and strong analytical skills. We offer comprehe...
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United States , Effingham
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Not provided
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Breton Bay Dentistry
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Senior Treasury Analyst
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Shape the treasury function at a FTSE 250 company in this new Senior Analyst role. Based in Marlow, you will manage liquidity, FX, and controls while implementing best practices. We seek a qualified professional with 2+ years' corporate treasury experience and strong process-improvement skills. E...
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United Kingdom , Marlow
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Softcat
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Explore a world of opportunity in Treasury Analyst jobs, a critical finance profession at the heart of any organization's financial health and stability. Treasury Analysts are the guardians of corporate liquidity, responsible for ensuring a company has the cash it needs to operate, invest, and grow, while also mitigating financial risks. This dynamic role sits at the intersection of finance, strategy, and risk management, offering a career that is both analytically rigorous and strategically vital. Professionals in this field typically manage a core set of responsibilities centered on cash and risk. A primary duty is daily cash management and forecasting. Analysts monitor cash balances, track inflows and outflows, and create short, medium, and long-term cash flow forecasts to predict future liquidity positions. This ensures the company can meet its financial obligations, from payroll to vendor payments, and identifies surplus cash for investment or potential shortfalls requiring financing. Another key area is banking and financial operations. Treasury Analysts manage banking relationships, oversee electronic funds transfers, and may administer corporate credit facilities. They also perform detailed cash analysis, reconcile bank accounts, and monitor banking fees and services to optimize costs. Risk management is a fundamental pillar of the role. Analysts assess and hedge against various financial risks, including foreign exchange (FX) risk for companies operating internationally, interest rate risk on debt, and counterparty risk. They develop and monitor key liquidity and risk ratios, often producing reports for management and regulators. Furthermore, they play a crucial role in supporting strategic initiatives by analyzing the financial implications of mergers, acquisitions, or global expansion, ensuring these projects are funded appropriately. To succeed in Treasury Analyst jobs, a specific skill set is required. A strong educational foundation in finance, accounting, economics, or a related field is standard, often supplemented by professional certifications like the Certified Treasury Professional (CTP). Technical proficiency is non-negotiable, with advanced Excel skills being paramount for financial modeling and data analysis. Familiarity with Treasury Management Systems (TMS) and enterprise resource planning (ERP) software is a major asset. Beyond technical prowess, successful analysts possess sharp analytical and problem-solving abilities to interpret complex financial data. They have exceptional attention to detail for accuracy in reporting and transactions, and strong communication skills to explain financial concepts and risks to non-financial colleagues and senior management. The ability to work under pressure, manage multiple priorities, and maintain the highest ethical standards regarding financial controls is essential. Whether you are an entry-level candidate or an experienced professional, Treasury Analyst jobs offer a stable and rewarding career path with visibility across the entire organization. It is a profession where meticulous analysis directly impacts a company's strategic agility and financial resilience, making it an indispensable function in the modern business landscape.

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