Business Analyst (Treasury) Jobs
By QuantumBricks At Plano, TX, United States
Demonstrated project management skills and project management software skills, including planning, organizing, and managing resources
Bachelor’s Degree in Software Development, Computer Engineering, Project Management or related field
candidates must be experience with (Retail Industry)
Excellent analytical, mathematical, and creative problem-solving skills
Excellent listening, interpersonal, written, and oral communication skills
Experience working in a team-oriented, collaborative environment
Treasury Analyst Jobs
By Stellantis Financial Services US At Atlanta, GA, United States
Responsible for key internal management reports.
Prepares ad-hoc and other reports as directed by management.
Updates job knowledge by participating in educational opportunities; reading professional publications, participating in professional organizations.
Ensures timely completion of compliance and reporting requirements.
Problem Solving - Identifies and resolves problems in a timely manner; Gathers and analyzes information skillfully; Develops alternative solutions
Initiative - Looks for and takes advantage of opportunities; Asks for and offers help when needed.
Analyst Treasury Sr Jobs
By Caesars Entertainment At , Las Vegas
Bachelor's degree or 2 years of experience in finance, treasury or related role, preferably
Must be detail oriented, technically skilled and have experience using third party software
o Oversee cash management, reporting, and other Treasury functions
Able to work in a deadline-oriented environment, manage multiple projects with
A qualified candidate will be an entry to mid-level (2 years) professional in finance or treasury
with a desire to develop their skills further in the gaming industry. A candidate will be responsible
Treasury Analyst - Equity Finance
By DRW At , New York $100,000 - $250,000 a year
Strong knowledge of option markets, strategies and risk management
Previous experience in equity finance and supporting equities trading businesses
Identifying process improvements, defining functional requirements for systems, and implementing change
Manage and optimize financing execution across variety of asset classes
Ability to manage multiple tasks and thrive in a fast-paced team environment
Excellent analytical skills, strong attention to detail and exceptional follow-through
Treasury Analyst 2 Jobs
By University of Cincinnati At , Cincinnati
Six (6) years of relevant work experience and/or other specialized training can be used in lieu of education requirement.
Assist with preparation of continuing disclosure obligations for the University’s outstanding tax-exempt debt portfolio and other debt management functions.
Review departmental processes for operational efficiencies and provide recommendations to management.
Two (2) years of experience in treasury, finance, banking or related field.
Assist with data collection and analysis for various tax liabilities related to sales, real estate, international and other tax compliance functions.
Recommend or present ideas/solutions/improvements to managers regarding assigned tasks and projects.
Sr. Treasury Analyst Jobs
By Covetrus At , Remote
Experience with a treasury management system, preferably FIS Integrity, is helpful.
Bachelor’s degree in Finance, Accounting, or Economics.
Strong written and verbal communication skills.
Experience with an in-house banking model that’s serviced inside of treasury operations is a plus.
SharePoint, OneDrive, PowerBI, and Power Automate experience is a plus.
Reasonable access to a major airport, solid Internet and phone connectivity is expected so the candidate can successfully work remote.
Treasury Analyst Jobs
By Johns Hopkins University At , Baltimore, 21211 $23.43 - $41.02 an hour

We are seeking a International Treasury Analyst who will be responsible for entering wire transfer and ACH payments through JP Morgan's Chase ACCESS system and Standard Chartered Bank's ...

Treasury Jr Analyst Jobs
By Edrington At , New York, 10010 $64,400 - $96,600 a year
Assist with the testing and implementation of a new invoice management software and PO process for the organization.
College degree in Finance or related field.
Professional experience in accounting or treasury function focusing on key elements of working capital (Accounts Receivable, Cash, Accounts Payable and Banking).
Professional presence with strong verbal, interpersonal and communication skills. This individual must be confident dealing with staff across the business.
Knowledge of US banking systems and general understanding of tax regulations.
Strong analytical, interpersonal, and organizational skills required.
Deputy Director International Treasury Services
By The Coca-Cola Company At , Atlanta, 30313
Every day is a twist and a turn – flexibility and time management skills are critical for success.
2 + years experience with people management
Directly responsible for the oversight and management of cash in excess of $10 billion.
Effective Management of global field cash – ensuring optimization via use of remittances, Inter Company Lending, and investment strategies.
Critical partner for Treasury Debt Capital Markets team to ensure both near-term and longer-term debt management objectives are achieved.
7+ years experience dealing with international treasury related issues of varied complexity.
International Treasury Services Senior Analyst
By The Coca-Cola Company At , Atlanta, 30313
Automation: Gain strong understanding of the technologies used within ITS to manage governance on Bank Accounts, New Banks, bank lines, Guarantees.
Agile: Apply past learnings and experiences to quickly apply to new situations.
Key Supporting role for ITS geographies, as determined by the ITS Managers and Director.
M&A Transaction Support: Secondary support of ITSMs for M&A activities as needed.
Inclusive: Matrix organization proponent (demonstrated daily via results)
Global Connections: Allows you to develop, enhance and maintain global connections that allow us to move faster and learn from others.
Treasury Analyst Jobs
By Mantu At , Phoenix
Payment Management: Daily forecasting, validation of payments and bank accounts coverage.
Administrative Tasks: Managing the compliance of the bank accounts and maintaining the Treasury Management System.
Previous experience in finance-related roles.
Degree in Finance, Banking & Finance, or a related field.
Min 2yrs of experience in Treasury
Excellent organizational skills and the ability to work under tight deadlines.
2024 Stars Analyst- Treasury Solutions
By Texas Capital Bank At , Dallas
Ability to communicate effectively at all levels – customers, bankers, sales, credit, documentation, management.
Dedicated to continuous learning and remaining coachable through each learning experience.
Earned a BBA, BA, BS or master’s in finance or accounting from an accredited college or university by May of 2024.
Completion of at least 9 hours of finance.
Strong Microsoft Office skills including Outlook, Excel, and PowerPoint to produce reports, memos, and presentations.
Proven leadership skills and community involvement.
Senior Treasury Analyst Jobs
By SAIA LTL Freight At , Johns Creek, 30097
Possess advanced Excel, Power-point, and strong project management skills.
Plan, execute and monitor daily cash management duties.
Prepare, review and maintain SOX compliance within the department, lead SOX walkthroughs and satisfy audit requirements.
Perform month end close responsibilities including journal entries and account reconciliations.
Effective problem solving and priority setting abilities.
Knowledge of the banking industry and technical knowledge of bank products
Implementation Solutions Analyst – International Treasury Onboarding
By JPMorgan Chase & Co At , Plano, 75024
Required Qualifications, Capabilities, and Skills:
Utilize creative problem solving and solid decision-making abilities to deliver business driven results
from analysts into associate project managers/onboarding specialists
Prepare client engagement materials (e.g. project plans, meeting minutes, agendas) and create a shared master tracker for VP global mandates
Update the implementation target dates and comments based on one-on-one meetings with VP International Onboarding Specialists
Collaborate with the international coverage teams on behalf of the VP being supported to establish clear implementation details
National Manager, International Treasury
By Toyota At , Plano, 75024
Oversee the region’s treasury and financial risk management activities.
Analyze and obtain regional management and parent company approval for SFC’s local funding programs, structures, and initiatives.
Ensure the SFCs’ treasury activities comply with global risk management policies and treasury guidelines.
Explore opportunities to leverage TMCC analytic platforms and capabilities for the benefit of regional SFCs.
Lead AOR Management Committee and other executive presentations on treasury matters.
Determine appropriate transfer pricing, cost structures, and P&L for treasury shared services and manage related reporting requirements.
Analyst, Treasury Jobs
By Cheniere Energy, Inc. At , Houston
QUALIFICATIONS (EDUCATION, EXPERIENCE AND SKILLS)
Education: Bachelor’s degree in Finance or closely related field preferred. Equivalent combination of professional experience and education may be considered.
Identify opportunities to streamline cash management processes and reduce costs.
Experience: Minimum 2 years of relevant Finance/Treasury experience.
Familiarity with bank administration, cash management techniques, and investment vehicles.
Collaborate with IT, software vendors, and internal stakeholders to address technical challenges, implement upgrades, and leverage automation capabilities.
Treasury Analyst Jobs
By NineDot Energy At , New York $90,000 - $110,000 a year
Strong knowledge of cash management principles, treasury operations, and financial risk management.
Execute cash management activities, including fund transfers, foreign exchange transactions, and investments in accordance with established policies and procedures.
Perform financial risk management, including interest rate risk, foreign exchange risk, and credit risk analysis.
Monitor and manage bank relationships, including account management, fee analysis, and negotiation of banking services.
Develop and implement treasury policies, procedures, and best practices to enhance operational efficiency and risk management.
Bachelor's degree in Finance, Accounting, or a related field. Additional certifications (e.g., CTP) are a plus.
Ap Treasury Support Analyst
By Leidos At , $36,400 - $75,600 a year
Utilize company and system knowledge to support internal and external customer inquiries
Experience working with Microsoft Office suite, specifically Excel
Experience using a data reporting tool
Experience working in an Accounting system (Costpoint)
A degree in Accounting, Finance, or Business.
Experience working in a government regulated environment
Treasury Analyst Jobs
By Coca-Cola Southwest Beverages At , Dallas, 75240
Strong time management and organizational abilities.
A positive “can do” attitude and confidence in dealing with external parties and management.
Manage incoming and outgoing cash effectively daily.
Liaising with relevant banks to ensure bank documents are kept up to date. Work with banks for KYC requirements.
Assists the Treasury Manager in cash flow analysis, bank transactions, and investment planning.
Prepare financial income (expense) report with explanations to Financial Reporting Manager
Treasury Analyst Jobs
By Ankura At , $65,000 - $155,000 a year
Support the development of the treasury and risk management teams, responsible for executing the strategic tasks aligned to global priorities.
Assist in streamlining cash management and cash forecasting processes
Advanced excel skills, PowerQuery, and Power BI experience.
Develop working relationships with other members of the Finance team, while supporting the broader Finance organization.
Minimum 3 years’ experience in treasury function
Experience applying best practices and driving process improvements.

Are you looking for an exciting opportunity to join a global team of treasury professionals? We are seeking an International Treasury Analyst to join our team and help us manage our global cash flow. You will be responsible for monitoring and analyzing our global cash positions, developing and implementing strategies to optimize our cash flow, and providing financial advice to our international business units. If you have a passion for international finance and a strong analytical background, this could be the perfect role for you!

Overview An International Treasury Analyst is responsible for managing the financial activities of an organization on a global scale. This includes analyzing and forecasting cash flow, managing foreign exchange transactions, and developing strategies to optimize the organization’s financial performance. Detailed Job Description An International Treasury Analyst is responsible for managing the financial activities of an organization on a global scale. This includes analyzing and forecasting cash flow, managing foreign exchange transactions, and developing strategies to optimize the organization’s financial performance. The International Treasury Analyst is also responsible for monitoring and analyzing the organization’s financial performance, as well as developing and implementing strategies to improve the organization’s financial performance. The International Treasury Analyst must also be able to identify and mitigate financial risks, as well as develop and maintain relationships with financial institutions. Job Skills Required
• Strong analytical and problem-solving skills
• Excellent communication and interpersonal skills
• Knowledge of financial markets and instruments
• Knowledge of international banking regulations
• Knowledge of financial analysis and forecasting
• Knowledge of financial risk management
• Knowledge of accounting principles
• Ability to work independently and as part of a team
• Ability to work under pressure and meet deadlines
Job Qualifications
• Bachelor’s degree in finance, accounting, or a related field
• Professional certification in treasury management (e.g. Certified Treasury Professional)
• 5+ years of experience in treasury management
• Proficiency in Microsoft Office Suite
Job Knowledge
• Knowledge of financial markets and instruments
• Knowledge of international banking regulations
• Knowledge of financial analysis and forecasting
• Knowledge of financial risk management
• Knowledge of accounting principles
Job Experience
• 5+ years of experience in treasury management
• Experience in developing and implementing strategies to improve financial performance
• Experience in analyzing and forecasting cash flow
• Experience in managing foreign exchange transactions
Job Responsibilities
• Analyze and forecast cash flow
• Manage foreign exchange transactions
• Develop and implement strategies to improve financial performance
• Monitor and analyze the organization’s financial performance
• Identify and mitigate financial risks
• Develop and maintain relationships with financial institutions
• Prepare financial reports and presentations
• Ensure compliance with applicable laws and regulations