Job Description

Job Summary:

The Treasury Analyst is responsible for supporting the Treasury team in all cash management activities such as liquidity management, cash flow forecasting, bank account management and financial analysis. 


Job Duties:

  • Monitors and manages daily cash balances and daily cash position to ensure liquidity to meet short and long-term operational needs
  • Monitors and manages cash flow forecast to ensure timely and accurate forecasting of cash inflows and outflows
  • Assists in identifying, analyzing and mitigating financial risk
  • Executes wire transfers, ACH payments and other banking transactions in accordance with company policies
  • Manages online banking platform and bank account administration
  • Maintains relationships with banking partners, assisting with account management, bank fee analysis and service issues
  • Assists in managing process of corporate insurance liability coverage
  • As...
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