Treasury Analyst
Ascensus · Atlanta, GA · 5 days ago
RemoteRemoteFinanceFull-time
Key Responsibilities
- Prepare and analyze daily treasury and banking activity reports for senior leadership across multiple bank accounts.
- Perform daily cash management, determines funding requirements, schedules debt payments, amortization payments, and invests excess cash in accordance with the company's investment policy.
- Assist with short-term cash forecasting, liquidity planning, identification of key drivers, and variance analysis of forecasted versus actual results.
- Process cash transfers, wire payments, ACH transactions, checks, positive pay, cashier’s checks, fraud detection and related treasury activity.
- Record journal entries related to cash transactions and support the month-end close processes.
- Investigate and resolve discrepancies in cash transactions and ensure all activity is properly reconciled and documented.
- Maintain banking relationships and serve as a primary point of contact for banking partners to resolve service issues.
- Track and analyze bank fees, merchant fees, and banking service levels.
- Support bank account administration, escrow accounts, KYC, account opening and closing, user access maintenance, signer maintenance, and portal administration.
- Support internal and external audit activities by preparing schedules, documentation, and compliance support materials.
- Absorb support SOX compliance, escheat processes, internal control testing related to treasury and cash management processes.
- Partner with Accounting, Accounts Payable, FP&A, IT, Tax, and Operations to resolve issues and improve treasury processes.
- Support ad hoc treasury projects, system enhancements, bank platform enhancements, technology rollouts, and reporting initiatives.
- Maintain debt covenant compliance schedules and related reporting files.
- Support M&A implementation and integration.
- Manage intercompany settlements, Letters of Credit, and derivative settlements.
Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field.
- 3+ years of experience in treasury, cash management, corporate finance, accounting, or related areas.
- Exposure to Power BI or other reporting tools.
- Advanced Excel skills, including pivot tables, lookups, formulas, and data analysis.
- CTP certification or progress toward certification is a plus.
- An "AI-first" mindset with hands-on experience utilizing generative AI and machine learning tools for predictive analytics and process scaling.
- Strong experience with banking activity, cash operations, reconciliations, and treasury reporting.
- Experience with ERP systems, treasury workstations, or banking platforms preferred (Lawson, Cloud Suite, NetSuite, Trovata, JPM Access, BNY NEXEN, Wells Fargo Vantage).
- Strong analytical, organizational, and problem-solving skills.
- Excellent verbal and written communication skills.
- High attention to detail, accuracy, and ability to manage multiple priorities in a deadline-driven environment.
- Process improvement mindset.
- Adaptability and willingness to manage shifting priorities.