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We are looking for a skilled Treasury Analyst to join our team in New York, New York. In this long-term contract role, you will play a key part in overseeing treasury operations, ensuring effective cash flow management, and supporting compliance with financial policies and regulations. This position requires close collaboration with internal teams and external stakeholders to maintain liquidity and optimize funding strategies.
Job Responsibility:
Oversee daily treasury operations to ensure efficient management of cash flow and liquidity
Conduct detailed cash flow forecasting and analysis to support financial planning
Perform bank reconciliations and cash reconciliations with accuracy and timeliness
Collaborate with financial institutions and internal teams to address funding needs and optimize banking relationships
Ensure compliance with company policies, procedures, and regulatory requirements
Identify and mitigate financial risks related to treasury and cash management activities
Support the preparation of reports and analyses for senior management
Monitor and manage foreign exchange exposures as necessary
Assist in the implementation of treasury tools and processes to enhance operational efficiency
Requirements:
Proven experience in corporate treasury or related financial roles
Strong knowledge of treasury operations, including cash flow forecasting and bank reconciliations
Familiarity with financial regulations and compliance standards
Advanced proficiency in financial software and tools
Excellent analytical and problem-solving skills
Strong communication and interpersonal abilities to work effectively with diverse stakeholders
Ability to manage multiple tasks and prioritize in a dynamic environment
Bachelor’s degree in finance, accounting, or a related field is required