Treasury Associate

Atlas Search

Connecticut

On-site

USD 70,000 - 90,000

Full time

14 days+
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Benefits offered by this job

Competitive compensation structure
Bonus and equity participation
Strong benefits package

Job summary

A dynamic financial services firm in Connecticut is seeking a Treasury Analyst / Associate for its Corporate Finance team. The ideal candidate will have 2 to 5 years of treasury or cash management experience and excellent skills in Excel. This role offers direct visibility to the Head of Treasury, a competitive compensation package, and the opportunity to work on process modernization and treasury technology enhancements. Candidates with Big 4 / Top 10 experience are also encouraged to apply.

Qualifications

  • 2 to 5 years of experience in Treasury, cash management, or liquidity forecasting.
  • Experience in financial services is preferred.
  • Comfort working cross-functionally and strong communication skills.

Responsibilities

  • Monitor daily cash positions and ensure sufficient liquidity across accounts.
  • Build and maintain cash flow forecasts and analyze variances vs actuals.
  • Support bank relationship management and day-to-day treasury operations.

Skills

Treasury experience
Cash management
Liquidity forecasting
Strong communication skills
Excel fluency

Tools

Kyriba
Treasury Management System exposure
NetSuite
Coupa

Job description

A fast-growing financial services and fintech platform is hiring a Treasury Analyst / Associate to join its Corporate Finance team. This role reports directly into the Head of Treasury and is a great fit for someone who wants broad exposure across liquidity management, cash forecasting, bank relationships, treasury systems, and process improvement.

They’re ideally looking for 2 to 5 years of treasury or cash management experience, preferably in financial services. They’re also open to Big 4 / Top 10 auditors who are intentionally pivoting into Treasury and can clearly articulate why.

What you’ll be doing
  • Monitor daily cash positions and ensure sufficient liquidity across accounts
  • Build and maintain cash flow forecasts and analyze variances vs actuals
  • Support bank relationship management and day-to-day treasury operations
  • Assist with short-term and long-term investment activity and related analysis
  • Leverage a treasury management system to streamline workflows and reporting
  • Support implementation and enhancement of treasury technology and controls
  • Partner with Finance and Accounting to ensure accurate inputs and reporting alignment
  • Identify process gaps, strengthen internal controls, and improve documentation
  • Contribute to ad hoc analysis and special projects for leadership
What they’re looking for
  • 2 to 5 years of experience in Treasury, cash management, or liquidity forecasting
  • Financial services experience is preferred
  • Strong communication skills and comfort working cross-functionally
  • Solid understanding of GAAP reporting and how treasury ties into financials
  • Excel and PowerPoint fluency
  • Treasury Management System exposure is important
  • Kyriba experience is strongly preferred (open to candidates without Kyriba if the treasury foundation is strong)
  • Nice to have: NetSuite or other GL exposure, Coupa, CTP (completed or in progress)
Why it’s interesting
  • Direct visibility to the Head of Treasury and broad scope across core treasury functions
  • Opportunity to work on system implementation and process modernization
  • Competitive comp structure (base + bonus + equity) and strong benefits
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