Treasury Analyst
Treasury Analyst
We are seeking a motivated Treasury Analyst to join a high-performing team. In this role, you will contribute to cash management activities while developing advanced analytical and financial modeling skills. You will support the team in reporting, analysis, and data visualization, playing an essential part in the organization's treasury operations. This is an excellent opportunity for an early-career finance professional eager to gain hands-on experience and grow within a supportive team environment.
Key Responsibilities:
- Manage daily cash operations, contributing to 50% of overall responsibilities in treasury functions.
- Support the creation of analytical reports, financial models, and data visualizations to assist decision-making processes.
- Collaborate with team members to complete recurring and ad hoc analysis, enhancing reporting capabilities.
- Develop and present graphical reports and tables using Excel and other tools, learning to build financial models from the ground up.
- Engage in ad hoc projects to further develop analytical skills and treasury knowledge.
Key Requirements:
- 1-2 years of relevant experience in treasury, financial analysis, or a related role; strong internship experience will also be considered.
- Bachelor's degree in Finance (candidates with accounting backgrounds or CPA aspirations will not be a fit).
- Exposure to financial modeling and a strong understanding of financial statements.
- High attention to detail and a resourceful, solutions-oriented mindset.
- Team player with a strong willingness to learn and contribute to collaborative projects.
- Proficiency in Excel with a desire to advance data visualization and modeling skills.
- Analytical background preferred; candidates with heavy accounting experience are not ideal.
If you are ready to grow your career in treasury and financial analysis within a supportive and fast-paced environment, apply today with your resume and contact information!