The Senior Treasury Analyst is responsible for working across the Finance team on the implementation and shared support of daily company cash and bank operations. This role develops and maintains cash forecasts, analyzes balance sheet items, and provides key financial analysis on consolidated cash flow and liquidity positioning. This position provides leadership and guidance to other members of the Treasury team and partners closely with Accounting, Finance, and Information Technology to ensure effective bank administration, accurate financial reporting, and strong internal controls. This position is also responsible for creating, developing and implementing strong controls and performing complete and accurate complex in depth analysis.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
501-1,000 employees