Sr. Treasury Analyst Role
AlphaSense · United States · 3 days ago
RemoteRemoteSales$122k–$135k/yrFull-time
About the role
The Sr. Treasury Analyst will own AlphaSense's global cash management and liquidity operations, playing a critical role in ensuring the company has full visibility and control over its financial position. This role will partner cross-functionally with FP&A, Accounting, and business stakeholders while supporting capital markets activity, debt compliance, and treasury systems initiatives — directly contributing to the scalability and financial health of a high-growth global business.
Responsibilities
- Own daily global cash positioning, liquidity management, and short-term cash forecasting across all entities, while developing rolling forecasts (weekly, monthly, and long-range) to identify liquidity risks and optimization opportunities.
- Execute and oversee domestic and international payments (wires, ACH, FX), manage global banking relationships including account structure and fee optimization, and lead bank account administration including KYC documentation and compliance.
- Partner with FP&A, Accounting, and business stakeholders to align cash forecasts with operating plans; monitor and optimize working capital including AR collections, AP payment timing, and cash conversion efficiency.
- Support debt compliance, covenant reporting, capital markets activities, and corporate insurance renewals, while ensuring strong treasury controls including payment approval workflows and fraud prevention measures.
- Lead treasury systems and bank connectivity initiatives (TMS, APIs, bank portals), maintain treasury policies and process documentation, and drive continuous process improvements to enhance cash visibility and operational efficiency.
Requirements
- Bachelor's degree in Finance, Accounting, or related field required; CTP or CFA is a plus, with 5+ years of treasury or finance experience preferably in a high-growth or public company environment.
- Strong understanding of cash management, liquidity planning, global banking operations, and experience managing domestic and international payments including FX and cross-border flows.
- Familiarity with debt structures, covenant compliance, capital markets activities, and working knowledge of treasury systems (TMS), ERP platforms (e.g., NetSuite, SAP), and banking portals.
- Advanced Excel and financial modeling skills with a strong understanding of internal controls, fraud prevention, and SOX compliance, and the ability to analyze and synthesize complex data sets.
- Proven ability to operate cross-functionally, influence stakeholders, and communicate treasury insights clearly — with high attention to detail, a strong ownership mindset, and the ability to execute in fast-paced environments.
Qualifications
- Proven track record of success in a high-growth or public company environment.
- Experience with treasury systems, ERP platforms, and banking portals.
- Strong analytical and problem-solving skills.
- Excellent communication and interpersonal skills.
- Ability to work independently and as part of a team.
Skills
- Financial modeling and analysis.
- Cash management and liquidity planning.
- Global banking operations.
- Debt structures and covenant compliance.
- ERP platforms (NetSuite, SAP).
- Treasury systems (TMS).
- Banking portals.
- Internal controls and fraud prevention.
- SOX compliance.
Benefits
- Comprehensive benefits package.
- Flexible work arrangements.
- Professional development opportunities.
- Work-life balance initiatives.
Pay
- $122,000—$135,000 USD base compensation range.
- Performance-based bonus.
- Equity.
Schedule
- Full-time position.
- Standard 9-to-5 workday.