Senior Treasury Analyst

Yuma, AZ
Finance – Finance /
Regular, Full Time /
On-site
 We are currently seeking an experienced and detail-oriented Senior Treasury Analyst to join our finance team. The Treasury Analyst is a dynamic position that entails a variety of treasury functions that calls for effective communication skills, a commitment to accuracy, and timeliness in a deadline driven environment. The position interfaces with all levels of management and staff to accomplish duties thus making the ability to multi-task and prioritize time sensitive information critical. 

Duties and Responsibilities:

    • The responsibilities range from performing day-to-day cash management functions to processing bank administration requests from all companies of the group
    • Troubleshooting and providing solutions to problems or errors that show up when performing the cash positioning are skills that are valuable to the job
    • Perform day-to-day cash management functions including accessing bank reports, calculating, and preparing cash positioning for multiple accounts and processing loan transactions
    • Provide recommendations of cash levels and borrowings
    • Monitoring and reporting of all cash management activity of all outflows and maintain forecasting projections on a regular basis
    • Analyze and update cash forecasting for a two-month period
    • Coordinate details regarding revolver borrowings with the bank
    • Provide recommendations for improvements to current Treasury processes and spreadsheets
    • Interact with companies on bank related matters including opening and closing of accounts, signature authority, and bank documentation and managing the database of all bank accounts
    • Processes signatory changes, opening/closing accounts and other bank account administration duties.
    • Additional bank reporting responsibilities for the position include but are not limited to those outlined by FinCEN, BSA, KYC, FBAR, and other governmental requirements as need arises
    • Bank liaison for banking needs with internal divisions/companies
    • Maintain and update Treasury procedures and assist with various Treasury related projects.
    • Develop quantitative measures of Key Performance Indicators (KPIs) across companies.
    • Execute plans to mitigate financial risks and exposures in accordance with treasury policies and best practices.

Qualifications and Skills Required:

    • Required Qualifications:
    • Bachelor’s degree in Accounting, Finance from an accredited college/University.
    • Master’s degree, CPA desired.

    • Required Experience:
    • 2 to 4 years’ recent experience in Treasury
    • Ability to work well under pressure and meet aggressive deadlines.
    • Good problem solving and decision-making skills to respond to inquiries in a timely manner.
    • Strong organizational skills and the ability to manage multiple tasks to maintain an efficient processing flow.

    •  Technical Skills Required:
    • Working Knowledge of Adobe and Microsoft Office Suite (Word, Excel, etc.). Familiarity with DocuSign and banking systems (i.e Bank of America CashPro, Citibank CitiDirect)
    • Comfortable with a variety of technology platforms utilized for banking administration purposes.
    • Detailed oriented with a commitment to accuracy

    • Communication Skills:
    • Excellent oral and written communication skills to effectively coordinate and complete administrative requests with banks and internal business partners

    • Critical Thinking:
    • Exceptional critical thinking skills with the ability to troubleshoot and develop systemic solutions for complex problems.

Working Conditions:

    • Must be able to work in an office environment at a desk for extended periods of time using a computer.