Senior Treasury Analyst

The Intersect Group

Dallas, Northern (TX, KY)

Hybrid

USD 90,000 - 120,000

Full time

14 days+
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Job summary

The Intersect Group is seeking a Senior Treasury Analyst in Dallas to support cash forecasting, debt administration, financial reporting, and regulatory compliance. You will work across Finance, Accounting, Legal, IT, and banking partners to ensure liquidity, debt obligations, and accurate reporting.

The role requires advanced Hyperion experience and strong proficiency in Power BI/Tableau, Excel modeling, and GAAP/SOX controls.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business Administration, or related field with 4+ years of treasury/finance experience.
  • Advanced experience with Hyperion is required.
  • Proficient in financial analysis, forecasting, and reporting using BI tools such as Power BI or Tableau.
  • Strong knowledge of GAAP, SOX controls, and treasury operations.

Responsibilities

  • Prepare and review treasury journal entries, reconciliations, and monthly GL reporting.
  • Manage month-end/quarter-end reporting for investments, debt, and liquidity.
  • Maintain cash forecasting models for liquidity planning and working capital management.
  • Develop treasury reports using Hyperion, Power BI, and Tableau.
  • Monitor debt covenant compliance and assist with related documentation.
  • Support internal/external audits and SOX compliance processes.
  • Maintain treasury systems in collaboration with IT and manage banking relationships.

Skills

Hyperion
Power BI
Tableau
Excel
Financial Modeling
GAAP
SOX Compliance
Cash Forecasting

Education

Bachelor's degree in Finance, Accounting, Business Admin, or related field

Tools

Hyperion
Power BI
Tableau
Excel

Job description

## Senior Treasury Analyst**Dallas,TX75240**Posted: 08/20/2026Employment Type:Direct HireCategory: IT - BI/DA - Data AnalyticsJob Number: 250945Work Location: On-Site## Job DescriptionSenior Treasury AnalystAbout the Company The Intersect Group is partnering with a respected and financially strong organization operating in a highly regulated industry that provides essential services to customers and communities. The company is committed to financial stewardship, operational excellence, and long-term strategic growth. Employees are empowered to contribute meaningful insights, collaborate across departments, and help drive sound financial decision-making throughout the organization. Position Summary We are seeking a **Senior Treasury Analyst** to support critical treasury operations, cash management activities, financial reporting, and compliance initiatives. This role will serve as a key contributor within the treasury function, helping ensure the organization's liquidity, debt obligations, investment reporting, and banking relationships are effectively managed. The ideal candidate combines strong treasury and accounting knowledge with advanced analytical capabilities. This position will play an important role in cash forecasting, debt administration, financial reporting, treasury system support, regulatory compliance, and business intelligence initiatives. Success in this role requires the ability to analyze complex financial data, maintain accurate reporting, and collaborate with stakeholders across Finance, Accounting, Legal, IT, and external banking partners. Key Responsibilities* Prepare and review treasury-related journal entries, reconciliations, and monthly general ledger reporting.* Manage month-end and quarter-end reporting for investments, short-term debt, and long-term debt activities.* Maintain and enhance cash forecasting models to support liquidity planning and working capital management.* Analyze treasury data and develop reporting insights using Hyperion, Tableau, Power BI, and other financial systems.* Monitor debt covenant compliance and assist with loan compliance calculations and related documentation.* Process debt-related payments, including principal, interest expense, commitment fees, and related accruals.* Support internal and external audits, including SOX compliance, process documentation, and audit requests.* Partner with IT to maintain treasury systems, troubleshoot issues, and support system enhancements and upgrades.* Manage banking relationships, monitor banking fees, maintain legal banking documentation, and support banking initiatives.* Prepare responses to regulatory filings, rate case requests, rating agency reporting, and other treasury-related compliance requirements.* Administer Procurement Card and Travel & Entertainment Card programs while serving as a liaison to program providers.* Collaborate with Legal, Accounting, and Finance teams to support reporting requirements, capital structure analysis, and strategic treasury initiatives.Key Requirements* Bachelor's degree in Finance, Accounting, Business Administration, or a related field with 4+ years of experience in treasury, finance, accounting, or cash management; or Master's degree with 3+ years of relevant experience.* Advanced experience with **Hyperion** required.* Demonstrated experience in cash forecasting, liquidity management, treasury reporting, and financial analysis.* Strong proficiency with **Power BI**, **Tableau**, or similar business intelligence and data visualization tools.* Advanced data analysis skills with experience building financial models, forecasting tools, and reporting dashboards.* Strong understanding of GAAP, treasury operations, debt management, investments, bank reconciliations, and financial controls.* Experience supporting SOX compliance, internal controls, audit requests, and financial process documentation.* Advanced Microsoft Excel skills, including financial modeling, pivot tables, and complex analytical reporting.* Strong problem-solving abilities with attention to detail and a commitment to accuracy.* Excellent communication and stakeholder management skills with the ability to influence and collaborate across all levels of the organization.Why Apply? This is an opportunity to join a sophisticated finance organization where treasury plays a strategic role in supporting business operations and long-term growth. You'll work alongside experienced finance leaders, gain exposure to complex treasury activities, and leverage advanced analytics tools to drive impactful financial decisions. The role offers a blend of treasury operations, financial analysis, technology, and cross-functional collaboration that can further accelerate your career development. Apply Today If you are a treasury professional with strong analytical skills, experience in cash forecasting, and expertise in Hyperion and financial reporting, we encourage you to apply. Please submit your resume and contact information to The Intersect Group for immediate consideration.
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