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We are looking for a detail-oriented Treasury Analyst to join our team in Livonia, Michigan. This is a Contract to permanent position offering the opportunity to contribute to essential treasury operations while expanding your expertise. The role involves managing daily cash transfers, ensuring accurate financial reporting, and supporting investment and recall activities.
Job Responsibility:
Process daily cash transfers and maintain accurate records to ensure smooth financial operations
Develop and monitor cash position reports to meet target balances and optimize fund allocation
Manage wire transfers and ensure compliance with banking protocols and organizational policies
Utilize Treasura and other treasury platforms to execute operational tasks efficiently
Collaborate with banking partners, including custodial firms, to support treasury activities
Perform high-volume data entry with attention to detail and accuracy
Generate reports and forecasts to support cash flow analysis and decision-making
Leverage advanced Excel skills to create, analyze, and maintain financial models and reports
Support corporate treasury processes, ensuring compliance with best practices and regulations
Identify opportunities to improve workflows and contribute to the efficiency of treasury operations
Requirements:
Proven experience in corporate treasury or banking operations
Strong understanding of cash flow management, wire transfers, and financial reporting
Proficiency in using treasury management platforms such as Treasura
Advanced Excel skills, including the ability to create and analyze spreadsheets effectively
Exceptional attention to detail and accuracy in data entry and financial documentation
Ability to collaborate with banking partners and custodial firms to achieve organizational goals
Strong analytical skills to support cash flow forecasting and decision-making
Familiarity with industry standards and compliance requirements in treasury operations
What we offer:
medical, vision, dental, and life and disability insurance