Senior Treasury Analyst: Cash Forecasting & Automation

Atrium

Boston (MA)

On-site

USD 100,000 - 110,000

Full time

3 days ago
Be an early applicant
Application generator

Turn this role into an interview — a resume and cover letter built around what this employer wants.

Get past ATS filters

Benefits offered by this job

Atrium Care Package

Job summary

Atrium, a leading technology services organization, seeks a Senior Treasury Analyst to oversee cash forecasting, liquidity monitoring, and treasury operations from Boston. The role emphasizes improving financial efficiency and collaborating across teams to drive process improvements.

The ideal candidate will bring 4+ years in treasury or related finance functions, strong Excel and model-building capabilities, and proven experience owning end-to-end forecasting and reporting processes.

Qualifications

  • 4+ years of relevant experience in treasury, cash management, FP&A, accounting, audit, banking, credit, AR/AP, or another finance function involving cash management, financial modeling, or transactional activity.
  • Advanced Excel skills with the ability to independently build, analyze, and troubleshoot financial models.
  • Demonstrated experience developing financial models or forecasting tools from the ground up rather than simply maintaining existing models.
  • Proven ownership of recurring financial processes such as forecasting, reporting, close activities, or related deliverables from start to finish.
  • Ability to influence and collaborate effectively with cross-functional teams without relying on direct authority.
  • Strong communication skills with the ability to translate detailed financial analysis into clear takeaways for senior leadership.
  • Highly detail-oriented with the ability to exercise sound judgment and prioritize the financial information that matters most.
  • Comfortable working independently in an environment where processes may need to be developed or improved.
  • Strong interpersonal skills and the ability to partner effectively with stakeholders across Finance and non-Finance functions.
  • Comfortable leveraging AI and emerging technologies to improve financial processes, automation, collaboration, and overall efficiency.

Responsibilities

  • Manage and maintain the rolling 13-week cash forecast, ensuring accuracy, timely updates, and ongoing refinement in coordination with FP&A.
  • Maintain the organization’s working capital analysis, evaluating DSO, DPO, inventory-related drivers, liquidity scenarios, and key factors contributing to changes in cash performance.
  • Oversee daily liquidity monitoring across bank accounts, including cash balances, account activity, transfers, and near-term funding requirements.
  • Manage core banking administration, including account maintenance, authorized users, signatory controls, and access across banking platforms.
  • Oversee cash disbursement activities focusing on payment timing, working capital optimization, and maintaining strong supplier relationships.
  • Establish, document, and enhance treasury-related processes, controls, and procedures as the function continues to mature.
  • Build and maintain relationships with external banking partners and serve as a primary point of contact for routine banking matters.
  • Assist with debt-related reporting, covenant requirements, compliance deliverables, and revolver or borrowing-base activity.
  • Develop financial analysis and supporting materials for CFO discussions with lending institutions and private equity stakeholders.
  • Participate in treasury-related M&A initiatives, integrations, and other finance projects as needed.
  • Identify opportunities to automate and streamline processes across treasury, AP, AR, cash application, and broader cash management activities.
  • Partner cross-functionally to identify recurring financial process issues, improve operational workflows, and implement automation and other efficiency initiatives.

Skills

Advanced Excel
Financial Modeling
Forecasting
Cross-functional work
Communication Skills
Attention to detail

Education

Bachelor’s degree in Finance/Accounting/Economics/Business
CFA
CPA
CTP

Tools

Treasury Management Systems
Banking Platforms

Job description

Atrium, a leading technology services organization, seeks a Senior Treasury Analyst to oversee cash forecasting, liquidity monitoring, and treasury operations from Boston. The role emphasizes improving financial efficiency and collaborating across teams to drive process improvements.

The ideal candidate will bring 4+ years in treasury or related finance functions, strong Excel and model-building capabilities, and proven experience owning end-to-end forecasting and reporting processes.

Get your free, confidential resume review.

or drag and drop your file here.

Similar jobs

Similar jobs worth comparing

Senior Treasury Analyst — Cash Forecasting & Automation
Senior Treasury Analyst — Cash Forecasting & Automation

Atrium Staffing LLC • Boston (MA)

On-site
USD 100,000 - 110,000
Atrium Care Package
Senior Treasury Analyst
Senior Treasury Analyst

Atrium Staffing LLC • Boston (MA)

On-site
USD 100,000 - 110,000
Atrium Care Package
Senior Treasury Analyst - 408822
Senior Treasury Analyst - 408822

Atrium • Boston (MA)

On-site
USD 100,000 - 110,000
Atrium Care Package
Senior Treasury Analyst
Senior Treasury Analyst

Intepros • Philadelphia

On-site
USD 90,000 - 120,000
Treasury Analyst: Cash Flow Forecasting & Automation
Treasury Analyst: Cash Flow Forecasting & Automation

Easton Select Group • West Bridgewater (MA)

On-site
USD 68,000 - 85,000
401(k)
401(k) matching
Health insurance
+4
Senior Treasury Analyst - Cash Flow & Automation
Senior Treasury Analyst - Cash Flow & Automation

Mission Lane LLC • United States

Remote
USD 82,000 - 97,000
401(k) match
Monthly wellness stipend
Health insurance
+2
Treasury Analyst — Cash Forecasting & Reporting
Treasury Analyst — Cash Forecasting & Reporting

LaSalle Network • Atlanta (GA)

On-site
USD 76,500 - 93,500
Sr. Treasury Analyst
Sr. Treasury Analyst

Hire Point Recruiting • Village of Lindenhurst (NY)

On-site
USD 80,000 - 110,000
Treasury Analyst: Cash Management & Forecasting
Treasury Analyst: Cash Management & Forecasting

Ameriprise Financial • Minneapolis (MN)

Hybrid
USD 62,000 - 86,000
Lead Treasury & Cash Flow Strategist
Lead Treasury & Cash Flow Strategist

Atrium • New York (NY)

On-site
USD 140,000 - 150,000
401(k) retirement plan
Life insurance
Disability coverage
+1