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Join Shirley Ryan AbilityLab as a Senior Treasury Analyst, where you'll manage financial assets and enhance operational efficiency. This role encompasses cash management, investment oversight, and financial risk assessment, contributing significantly to our mission of advancing human ability. Ideal candidates will possess a strong finance background and demonstrate core attributes essential for collaboration in a healthcare environment.
By joining our team, you’ll be part of our life-changing Mission and Vision. You’ll work in a truly inclusive environment where diversity and equity are championed through words and actions. You’ll contribute to an innovative culture that is second to none, one that embraces curiosity, discovery and compassion. You’ll play a role in something that’s never been done before as we integrate science and clinical care to help patients achieve better, faster outcomes — as we Advance Human Ability, together.
Job Description Summary
The Senior Treasury Analyst plays a critical role in managing the hospital’s financial assets, ensuring liquidity, optimizing cash flow, and maintaining compliance with financial policies and regulations. This position supports treasury operations, investment management, debt administration, and financial risk assessment, helping to enhance the hospital’s financial stability and operational efficiency.Job Description
Senior Treasury Analyst will:
Treasury Operations & Cash Management
Monitor and manage daily cash flow to ensure sufficient liquidity for hospital operations.
Oversee banking relationships, including account structures, signatory authority, and fee negotiations.
Process and analyze cash flow forecasts, ensuring accuracy and alignment with financial plans.
Evaluate and recommend improvements to cash management strategies, including investment policies and payment processing.
Support implementation of automation and technology enhancements in treasury operations.
Investment & Debt Management
Assist in managing the hospital’s investment portfolio, ensuring adherence to investment policies and risk management guidelines.
Track and analyze investment performance, providing reports to senior management.
Monitor and manage outstanding debt, ensuring compliance with loan covenants and reporting requirements.
Support bond issuance, refinancing activities, and other capital financing initiatives.
Financial Risk Management & Compliance
Identify and mitigate financial risks, including interest rate, foreign exchange, and liquidity risks.
Ensure compliance with internal financial controls, external regulations (e.g., GAAP, IRS, SEC, and other relevant agencies), and healthcare industry standards.
Maintain and update treasury policies and procedures, ensuring alignment with best practices.
Assist with audits, providing necessary treasury-related documentation.
Reporting & Analysis
Prepare treasury-related financial reports, including cash position reports, debt summaries, and investment updates.
Conduct financial modeling and scenario analysis to support strategic decision-making.
Collaborate with the accounting and finance teams to align cash flow forecasts with budgeting and financial planning.
Work directly with external audits on matters relating to debt and investments.
Perform monitoring and tracking between individual investments statements and investment custodian reporting.
Reporting Relationships
Reports to Executive Director of Financial Planning
Knowledge, Skills & Abilities Required
Education & Experience
Bachelor’s degree in Finance, Accounting, Economics, or a related field (Master’s or MBA preferred).
5+ years of treasury, finance, or corporate banking experience, preferably in a healthcare or hospital setting.
Experience with cash management, investment analysis, and debt administration.
Technical Skills & Knowledge
Strong understanding of treasury operations, financial instruments, and risk management.
Proficiency in financial modeling, forecasting, and analysis.
Knowledge of banking systems, treasury management software, and financial reporting tools.
Advanced proficiency in Excel and financial databases.
Excellent communication and collaboration skills to work across departments.
Strong problem-solving skills with a detail-oriented and analytical mindset.
Certifications (Preferred but not Required)
Certified Treasury Professional (CTP)
Chartered Financial Analyst (CFA)
Certified Public Accountant (CPA)
Working Conditions
Normal office environment with little or no exposure to dust or extreme temperature.
Working Conditions
Hybrid office environment with little or no exposure to dust or extreme temperatures.
Payand Benefits*:
Pay Range:$71,278.00 annually- $124,500.00 annually
Benefits: Shirley Ryan AbilityLab offers a comprehensive benefits program that is competitive with our industry peers in our geographic locations: https://www.sralab.org/benefits
*Benefits and benefits’ eligibility can vary by position. Actual compensation will vary based on applicant’s experience and qualifications, as well as internal equity.
The above statements are intended to describe the general nature and level of work being performed by people assigned to this classification. They are not intended to be construed as an exhaustive list of all responsibilities, duties and skills required of personnel so classified.
Equal Employment Opportunity
ShirleyRyan AbilityLab is an equal opportunity/affirmative action employer. All qualified applicants will receive consideration for employment without regard to sex, gender identity, sexual orientation, race, color, religion, national origin, disability, protected Veteran status, age, or any other characteristic protected by law.