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We are looking for a dedicated Treasury Analyst to join our team in Tustin, California. This is a long-term contract position that offers a part-time schedule, ideal for professionals seeking flexibility while maintaining a dynamic career. The role requires strong analytical skills and attention to detail to ensure efficient management of treasury operations and financial processes.
Job Responsibility:
Process payments accurately and ensure timely completion of transactions
Analyze cash flow to optimize financial planning and resource allocation
Assist in forecasting cash flow requirements and provide actionable insights
Maintain and update treasury records with precision using tools like Microsoft Excel
Collaborate with internal teams to support treasury operations and ensure compliance
Monitor financial trends and report findings to support strategic decisions
Contribute to the preparation of financial reports and documentation
Address and resolve discrepancies in treasury operations
Support the implementation and maintenance of treasury management systems
Ensure adherence to company policies and regulatory requirements in all treasury activities
Requirements:
Minimum of 2 years of experience in a corporate treasury or financial analysis role
Proficiency in Microsoft Excel for data analysis and reporting
Strong understanding of cash flow forecasting and treasury operations
Familiarity with treasury management systems and processes
Excellent attention to detail and organizational skills
Ability to analyze financial data and provide actionable recommendations
Strong communication skills to collaborate effectively with team members
Knowledge of regulatory requirements related to treasury functions