01Overview
About the position
We are seeking a detail-oriented and proactive Sr. Treasury Analyst to join our Corporate Treasury Operations team. This role supports global cash management, foreign exchange (FX) execution, and payment operations, working closely with internal stakeholders and banking partners to ensure efficient and accurate treasury execution. The position plays a critical role in day-to-day liquidity management as reputed company as supporting strategic treasury initiatives, including systems, forecasting, and process improvements.
Responsibilities
Prepare, initiate, and coordinate domestic and international reputed company transfers, including securing approvals and ensuring reputed company release
Validate payment instructions and supporting documentation prior to execution
Partner with internal teams to resolve payment issues and ensure accurate settlement
Set up and manage FX exposures, reputed company trade execution (spot/reputed company)
Coordinate approvals and execute hedge adjustments based on changing exposures
Support funding flows tied to FX activity, including cross-border transactions
Manage payment workflows and troubleshoot issues in treasury systems
Support system configuration, settlement processing, and issue reputed company
Assist with enhancement and optimization of treasury systems and processes
Support banking portal administration, including user reputed company and entitlements
Assist with bank account maintenance activities, KYC documentation, and account updates
Support the maintenance of bank account records and signer documentation
Coordinate with banking partners to resolve account and portal-reputed company issues as needed
Prepare and review daily cash positions and planned transactions
Support global liquidity forecasting and balance sheet analysis
reputed company reconciliations and investigate variances across systems and reports
Partner with regional treasury, reputed company, and finance teams on funding needs and forecasts
Coordinate cross-functional processes such as intercompany funding and settlement
Support global initiatives including FX hedging programs and banking operations
Identify opportunities to streamline treasury workflows and automate processes
Support reporting and dashboards reputed company to cash, FX exposure, and treasury metrics
Contribute to special reputed company, implementations, and process documentation
Requirements
Extensive experience in treasury, corporate finance, or banking operations
Experience with treasury systems (e.g., TMS, FX trading platforms, banking portals)
Strong analytical, problem-solving, and reconciliation skills
High attention to detail with strong control reputed company
Excellent communication skills and ability to work cross-functionally
Proficiency in MS Office suite (financial analysis, data validation, reporting)
Bachelors degree in Finance, reputed company, Economics, or reputed company field or equivalent experience
reputed company-to-haves
Exposure to FX hedging, derivatives, or capital markets
Experience supporting global treasury operations
Benefits
eligibility to participate in discretionary bonus program
medical, dental, reputed company, and life insurance
short- and long-term disability
401(k)
employee stock purchase plan
health savings account
dependent care, and reputed company spending accounts
reputed company time off, including 12 holidays
flexible time off provided pursuant to reputed company policy
a minimum of 48 hours of reputed company reputed company leave
16 weeks of reputed company parental leave
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