Jobs · North Carolina

Senior Treasury Analyst

Troutman Pepper Locke LLP · Charlotte, NC · 4 wk ago
$85k–$125k/yrFull-time

About the role

The Senior Treasury Analyst is responsible for managing the firm’s treasury operations, including cash management, banking activities, and liquidity planning. The role involves monitoring cash positions, reviewing banking transactions, and ensuring accurate recordkeeping in compliance with internal controls and firm policies.

Responsibilities

  • Maintain daily cash positions and build short and long-term cash flow forecasts to ensure sufficient liquidity for operational needs.
  • Process and approve banking transactions, including wires, ACH payments, and account transfers, while maintaining complete backup documentation for audit requirements.
  • Manage banking relationships to ensure optimal service levels, opening, modifying, and maintaining bank accounts, and overseeing the firm’s overall banking structure.
  • Review account analysis statements for accuracy and actively monitor cash management services and associated fees.
  • Oversee the firm’s investment portfolio, ensuring compliance with investment policies while maximizing returns and effectively managing risk.
  • Prepare and deliver periodic treasury reports to senior management, highlighting key metrics, trends, and strategic observations.
  • Ensure all treasury activities comply with internal controls, firm policies, and applicable regulatory requirements.
  • Identify and implement process improvements that increase the efficiency and effectiveness of treasury operations.
  • Maintain strict confidentiality of firm, attorney, and client information.

Requirements

  • Strong financial acumen and analytical skills, with a proven ability to assess complex information and deliver sound, data-driven insights.
  • Adaptable and responsive to shifting client requirements and internal priorities, with a solutions-oriented mindset.
  • High degree of professionalism, integrity, and discretion when handling sensitive and confidential matters.
  • Excellent organizational skills with the ability to manage and prioritize multiple tasks simultaneously while maintaining meticulous attention to detail, particularly under pressure.
  • Effective communicator with exceptional written, verbal, and interpersonal skills, with the ability to engage attorneys, and administrative departments across the firm.
  • Skilled at building and sustaining trusted relationships with attorneys, business professionals, and cross-functional stakeholders across practice groups and office locations.
  • Demonstrated ability to quickly learn and apply new technology solutions to support evolving business needs.
  • Collaborative and self-directed, with the ability to work independently, as well as part of a team in hybrid, remote, and in-office environments with limited supervision.

Qualifications

  • Minimum three (3) years of experience in treasury, finance, or a related field.
  • Experience with treasury management systems and financial software.
  • Proficiency in financial modeling and forecasting.
  • Proficiency with Microsoft Office, with advanced skills in Excel (e.g., lookups, pivot tables).

Pay

Hiring Salary Range: $85,000.00 - $125,000.00

Schedule

Hybrid, remote, and in-office environments with limited supervision.

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