Systems Analyst, Treasury

KNM Resources

Princeton (NJ)

Hybrid

USD 80,000 - 110,000

Full time

14 days+

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Job summary

A public company in Central NJ is seeking an experienced accounting or finance professional to join their treasury team. This hybrid opportunity requires over 4 years of experience in corporate treasury and cash management, including systems implementation. Ideal candidates will have a Bachelor's degree in Accounting or Finance, advanced Excel skills, and familiarity with SAP S/4HANA. The role involves advising management, driving technology implementation, and providing treasury support.

Qualifications

  • 4+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets.
  • CTP certification or pursuing designation.
  • Familiarity with accounting and treasury systems.

Responsibilities

  • Advise senior management on technology initiatives.
  • Support configuration and enhancements of the treasury platform.
  • Oversee project plans and stakeholder communication.

Skills

Corporate Treasury expertise
Automation skills
Advanced Excel
SAP S/4HANA
Project management

Education

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

Tools

SAP S/4HANA
MS Office

Job description

Highly visible, hybrid opportunity for an accounting or finance professional to join the treasury team of a growing public company in Central NJ. 4+ years’ experience in corporate treasury and cash management with systems implementation experience desired. For more opportunities from KNM Resources, please visit https://www.knmresources.com/all-openings

Responsibilities
  • Advise senior management on departmental initiatives to enhance the technology footprint.
  • Act as a subject matter expert for the company's newly implemented platform, supporting configuration, data integrity, and system enhancements.
  • Drive technology implementations, upgrades, and integrations across Treasury, IT, and vendors.
  • Improve system documentation, user guides, and controls.
  • Identify manual treasury processes and lead automation using Power Automate and TMS workflows.
  • Oversee project plans, stakeholder communication, and testing cycles for treasury initiatives.
  • Build dashboards and reporting tools to deliver real-time liquidity and KPI insights.
  • Assess and deploy AI tools to improve operations, fraud detection, and decision‑making.
  • Provide treasury support, including backup for bank account administration, cash forecasting, liquidity, collateral, and payments.
  • Review credit agreements and file compliance.
  • Submission of withdrawal/transfer certificates and distribution certificates.
  • Reconcile debt service payment amounts between bank invoices and internal schedules/calculations/systems.
  • Maintain debt and cash‑related information within the treasury management system.
  • Interact with lenders and staff to answer questions.
Qualifications
  • Bachelor’s degree in Accounting, Finance, or related field.
  • 4+ years of experience in Corporate Treasury, Treasury Operations, or Capital Markets.
  • Advanced proficiency in Excel and MS Office.
  • Experience with SAP S/4HANA (Accounting and Treasury modules).
  • Working knowledge of accounting and treasury systems.
  • CTP certification or pursuing designation.
  • Involvement in system and process implementations.
  • Exposure to automation tools and solutions.
  • Familiarity with project management tools or methodologies.
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