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Benefits offered by this job
Medical insurance
401(k)
Vision insurance
In-office culture with flexibility as needed once trained
Job summary
A leading financial services organization in downtown Oklahoma City is seeking an entry-level Treasury Analyst to support cash management operations and financial reporting processes. This role offers mentorship and tremendous visibility across the company, ideal for a recent graduate eager to launch a career in finance and accounting within a people-focused organization. Candidates should hold a relevant degree and possess strong Excel skills.
Qualifications
0–2 years of professional experience (banking experience strongly preferred).
Ability to thrive in a fast-paced, high-volume environment.
Responsibilities
Monitor daily cash activity and liquidity across multiple bank accounts.
Coordinate and process payments while maintaining internal control compliance.
Record daily cash transactions and reconcile accounts to the general ledger.
Assist with month-end close, including journal entries and reconciliations.
Skills
Strong Excel skills
Excellent communication skills
Attention to detail
Organizational skills
Education
Bachelor’s degree in Accounting, Finance, Economics, or Business Administration
Job description
A leading financial services organization in downtown Oklahoma City is seeking an entry-level Treasury Analyst to support cash management operations and financial reporting processes. This role offers mentorship and tremendous visibility across the company, ideal for a recent graduate eager to launch a career in finance and accounting within a people-focused organization. Candidates should hold a relevant degree and possess strong Excel skills.