Strategic Treasury Analyst: Cash Flow & Banking Optimizer

Homrich, Klein & Associates

Atlanta (GA)

On-site

USD 90,000 - 120,000

Full time

7 days ago
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Job summary

Homrich, Klein & Associates in Atlanta seeks a Senior Treasury Analyst to join its private, growth-focused team. The role emphasizes cash management, liquidity oversight, and accurate reporting.

You will prepare daily cash reports, monitor bank activity, support short-term forecasting, and assist with quarterly and annual compliance and reporting requirements. The position offers a collaborative culture with growth opportunities and exposure to ERP systems, treasury workstations, and

Qualifications

  • Requires a bachelor’s degree in finance, accounting, economics, business, or related field.
  • CTP credential or progress toward certification is a plus but not required.
  • 3-5 years of experience in treasury, corporate finance, banking, or cash management.
  • Experience with cash reporting, bank reconciliations, forecasting, and wire transfers is preferred.
  • Strong Excel and Office skills including data analysis and Pivot tables.

Responsibilities

  • Prepare daily cash reports, review bank activity, reconcile cash balances, and research variances.
  • Monitor liquidity and support recommendations for borrowings, repayments, transfers, and short-term investments.
  • Assist with short-term cash flow forecasting, including collecting inputs and updating forecast models.
  • Prepare recurring treasury reports and analysis for senior management.
  • Execute wire transfers, ACH, intercompany settlements, and other cash movements.
  • Maintain schedules for intercompany loans, interest calculations, and settlement activity.
  • Support administration of bank accounts, portals, user access, signers, and treasury workstation data.
  • Assist with loan compliance monitoring and maintain supporting documentation.
  • Review bank fees, card activity, and invoices; identify cost savings opportunities.
  • Support administration of commercial card programs, including reporting and user maintenance.
  • Maintain treasury records in an audit-ready manner.
  • Assist with annual report filings for corporations and LLCs.
  • Support business continuity documentation and testing for treasury processes.
  • Collaborate with Accounting, FP&A, IT, operating companies, banks, and service providers to resolve treasury issues.

Skills

Cash forecasting
Bank reconciliations
Treasury reporting
Financial analysis
Data analysis

Education

Bachelor’s degree in finance, accounting, economics, business, or a related field
Certified Treasury Professional credential or progress toward certification

Tools

Microsoft Excel
PowerPoint
Outlook
Treasury workstation
ERP system
Banking portals

Job description

Homrich, Klein & Associates in Atlanta seeks a Senior Treasury Analyst to join its private, growth-focused team. The role emphasizes cash management, liquidity oversight, and accurate reporting.

You will prepare daily cash reports, monitor bank activity, support short-term forecasting, and assist with quarterly and annual compliance and reporting requirements. The position offers a collaborative culture with growth opportunities and exposure to ERP systems, treasury workstations, and

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