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.

Are you looking for an exciting opportunity to use your financial and analytical skills to help shape the future of a growing organization? We are looking for a Treasury Management Analyst to join our team and help us manage our cash flow and investments. You will be responsible for analyzing financial data, developing and implementing strategies to maximize returns, and providing guidance on financial decisions. If you are a motivated self-starter with a passion for finance, this could be the perfect job for you!

Overview A Treasury Management Analyst is responsible for managing the cash flow of a company. They are responsible for developing and implementing strategies to maximize the company’s financial performance. They also analyze the company’s financial data and provide advice on how to best manage the company’s finances. Detailed Job Description A Treasury Management Analyst is responsible for managing the cash flow of a company. This includes developing and implementing strategies to maximize the company’s financial performance. They analyze the company’s financial data and provide advice on how to best manage the company’s finances. They also monitor the company’s financial performance and provide reports to management. Job Skills Required
• Knowledge of financial analysis and forecasting
• Knowledge of financial markets and instruments
• Knowledge of financial regulations
• Ability to analyze financial data
• Ability to develop and implement strategies
• Ability to communicate effectively
• Ability to work independently and as part of a team
• Strong problem-solving skills
Job Qualifications
• Bachelor’s degree in finance, accounting, or a related field
• At least 5 years of experience in a financial role
• CFA or CPA certification is preferred
Job Knowledge
• Knowledge of financial analysis and forecasting
• Knowledge of financial markets and instruments
• Knowledge of financial regulations
• Knowledge of accounting principles
Job Experience
• At least 5 years of experience in a financial role
• Experience in treasury management
• Experience in financial analysis and forecasting
Job Responsibilities
• Develop and implement strategies to maximize the company’s financial performance
• Monitor the company’s financial performance and provide reports to management
• Analyze financial data and provide advice on how to best manage the company’s finances
• Manage cash flow and liquidity
• Prepare financial statements and reports
• Develop and maintain relationships with banks and other financial institutions
• Ensure compliance with financial regulations