Sr. Treasury Analyst
SeniorOn-site (New York)Salary undisclosed
Job Description
Your Role in Our Story:
As a Sr. Treasury Analyst, you will:
- Monitor global account balances, arrange funding, and determine short- and longer-term Group borrowing or paydown requirements
- Prepare daily, weekly, and monthly cash forecasts; analyze drivers and variances; and lead improvements and automation of the forecasting process
- Execute treasury settlements, oversee trade settlements, and investigate differences between expected and actual cash movements
- Coordinate payments (especially prepayments), stock deliveries, and ultimately collections with the local finance & ops teams
- Reconcile transactions in FIS Integrity, close and settle internal FX deals in the TMS, execute external FX settlements through FXall, and support exposure monitoring and hedging
- Open, maintain, and monitor parent guarantees, bank guarantees, and letters of credit in the TMS, ensuring accurate records and timely follow-up
- Act as an operational contact for banking matters and support account openings, mandates, KYC, AML, electronic banking, and issue resolution
- Track and report bank fees, interest income, treasury KPIs, dashboards, and weekly working-capital measures, highlighting material trends or discrepancies
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