Treasury & Finance Analyst: Cash Strategy & Markets

Redwood Trust, Inc.

New York (NY)

On-site

USD 85,000 - 110,000

Full time

14 days+
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Benefits offered by this job

Discretionary corporate bonus program
Multiple health plans
Fitness reimbursement
Paid parental leave
Time to volunteer
401(k) matching

Job summary

A finance company is looking for a Treasury & Finance Analyst in New York, NY. The candidate will manage liquidity and financing operations while contributing to strategic initiatives. Responsibilities include cash management, financial modeling, and collaboration across teams. The role requires a Bachelor's degree in finance or related fields and offers a salary range of $85,000-$110,000, with a full-time employment type and a focus on finance, analysis, and accounting.

Qualifications

  • 0-2 years of relevant experience in treasury, accounting, banking, or financial operations.
  • Interest in mortgage finance, structured products, or capital markets preferred.
  • Exposure to treasury management systems and ERP platforms is a plus.

Responsibilities

  • Manage whole loan warehouse lines and prepare internal reports.
  • Assist with financial modeling and cash flow projections.
  • Monitor daily cash positions and process wire transfers.

Skills

Analytical skills
Problem-solving
Organizational skills
Communication skills
Interpersonal skills

Education

Bachelor’s degree in Finance, Accounting, Business Administration, Economics, or related field

Tools

Microsoft Excel
Microsoft Word
Microsoft PowerPoint

Job description

A finance company is looking for a Treasury & Finance Analyst in New York, NY. The candidate will manage liquidity and financing operations while contributing to strategic initiatives. Responsibilities include cash management, financial modeling, and collaboration across teams. The role requires a Bachelor's degree in finance or related fields and offers a salary range of $85,000-$110,000, with a full-time employment type and a focus on finance, analysis, and accounting.
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