Treasury Analyst
Esker · Middleton, WI · 1 wk ago
HybridFinance$70k–$80k/yrFull-time
The Role
Join a fast-growing organization where you’ll help shape and optimize global treasury operations. In this role, you’ll drive cash management, enhance banking and system processes, and partner across teams to support scalable growth. If you’re analytical, detail-oriented, and thrive in a fast-paced environment, this is a great opportunity to make an impact.
Key Tasks/Duties
- Treasury Operations & Cash Management
- Assist in leading global short-term cash forecasting processes, consolidating inputs from regional finance teams and providing actionable insights to optimize liquidity and funding strategies
- Serve as a key contributor and subject matter expert in Treasury Management System (TMS) implementation, enhancements, and ongoing optimization
- Oversee complex bank integrations, including BAI2 files, lockbox data, ACH/wire confirmations, and ensure seamless connectivity across systems
- Own and govern banking master data (accounts, signatories, and system records), ensuring accuracy, compliance, and adherence to internal controls
- Proactively identify, investigate, and resolve discrepancies or exceptions; partner with accounting and finance leaders to drive timely resolution
- Strengthen and maintain treasury-related internal controls; lead audit support activities, documentation, and process standardization efforts
- Corporate Card Program Development & Leadership
- Establish, manage and optimize the global corporate card program, including card lifecycle administration, policy governance, and vendor management
- Oversee transaction feed integrations with expense management systems; drive issue resolution and continuous improvement with internal stakeholders and external providers
- Cross-Functional Leadership & Process Optimization
- Act as a trusted advisor and primary escalation point for treasury-related inquiries across global and decentralized finance teams
- Drive the design and implementation of standardized treasury processes, balancing global consistency with local operational requirements
- Persistently partner cross-functionally with Accounting, FP&A, IT, and external banking partners to deliver scalable treasury solutions
- Support continuous improvement initiatives, leveraging automation and data analytics to enhance efficiency, accuracy, and scalability
Essential Experience
- Bachelor’s degree in Finance, Accounting, Business, Analytics, or related field (CPA, CTP, or MBA preferred)
- 3+ years of progressive experience in treasury operations, cash management, or corporate finance
- Advanced proficiency in Microsoft Excel (including complex modeling, data analysis, and automation techniques)
- Deep experience with ERP systems (SAP preferred) and Treasury Management Systems (TMS)
- Strong working knowledge of global banking operations, cash positioning, and payment processes
- Experience managing corporate card and/or expense management programs in a complex organization
- Proven ability to operate effectively in a global, multi-entity, and matrixed environment
Working Conditions
- Prolonged periods sitting at a desk and working on a computer
- Ability to travel up to 10% of working hours
Employee Benefits
- Student loan repayment assistance
- Flexible work schedule, summer hours, and work from home options
- Profit sharing options
- Paid time off for community outreach and volunteer opportunities
- Yearly stipend for employee wellness, hobbies, or educational activities
- Dog-friendly work environment
- Competitive salary and benefits package
Division
Esker U.S.
Locations
- Madison, U.S.
- Lakewood, U.S.
- Remote, U.S.
Employment type
Full-time