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An established and growing international company headquartered in Princeton, NJ is seeking a Treasury Analyst to join its corporate finance team. This is an excellent opportunity for someone looking to build hands-on experience within a global treasury function. The Treasury Analyst will support daily treasury operations, cash management activities, and financial analysis for a dynamic, multi-entity organization. This role offers strong exposure to senior leadership and the opportunity to contribute to process improvements and strategic initiatives.
Job Responsibility
Manage daily cash positioning, forecasting, and liquidity analysis
Assist with banking relationships, wire transfers, and treasury reporting
Analyze financial data to support decision-making and optimize cash flow
Maintain and improve treasury models, reports, and dashboards
Support month-end close activities related to treasury functions
Identify opportunities to streamline processes and enhance internal controls
Requirements
Bachelor's degree in Finance, Accounting, or related field
1+ years of experience in treasury, cash management, or financial analysis
Advanced Excel skills required, including pivot tables, lookups, and macros
Strong analytical, problem-solving, and organizational abilities
Excellent communication skills and attention to detail
What we offer
Comprehensive medical, dental, and vision insurance
Tuition reimbursement
Generous PTO and paid holidays
Collaborative, growth-oriented work environment with global exposure
Hybrid schedule: 3–4 days per week in the Princeton office