About the job Treasury Analyst (6 months contract)
Position Overview
We are seeking a highly motivated and detail-oriented Treasury Analyst to join our Finance team on a temporary basis. The successful candidate will play a key role in supporting daily treasury operations, optimizing cash management, assisting with accounts payable processes, and ensuring compliance with internal controls and audit requirements.
This role requires a solid understanding of banking systems, payment platforms, and treasury processes, along with strong analytical and organizational skills.
Key Responsibilities
1. Daily Banking and Cash Operations
- Execute and monitor daily banking activities, including wire transfers, ACH payments, and internal fund transfers.
- Manage daily cash positioning, reporting, and forecasting to ensure optimal liquidity.
- Act as a primary liaison for banking partners to resolve inquiries and transactional issues.
2. Payment Service Provider (PSP) Management
- Support operational activities related to payment service providers (e.g., PayPal, Stripe) to ensure seamless transaction processing and reconciliation.
- Monitor PSP activity for anomalies, escalating and resolving payment-related issues as needed.
3. Accounts Payable Support and Controls
- Collaborate closely with the Accounts Payable team as a treasury liaison.
- Review direct debit mandates and related activity to confirm proper authorization and compliance.
- Verify and maintain vendor banking details during setup and ongoing maintenance to prevent fraud and payment errors.
4. Compliance and Internal Controls
- Perform and document key Sarbanes-Oxley (SOx) controls related to cash, banking, and payment processes.
- Assist with internal and external audit requests pertaining to treasury and payment activities.
- Maintain accurate, up-to-date documentation of treasury processes, controls, and procedures.
Qualifications
Education and Experience
- Bachelors degree in Finance, Accounting, Economics, or a related field.
- 2+ years of experience in Treasury, Cash Management, Accounts Payable, or a related finance role.
- Experience in a contract or interim position is a plus.
- Technical and Professional Skills
- Strong understanding of daily cash management, banking operations, and electronic payment methods (ACH, wires).
- Familiarity with major payment platforms such as PayPal and Stripe.
- Working knowledge of SOx controls and financial compliance best practices.
- Proficiency in Microsoft Excel and experience with ERP systems (e.g., SAP, Oracle, NetSuite).
- Excellent analytical, organizational, and communication skills.
- High level of integrity and discretion in handling sensitive financial information.
Why Join Us
- Opportunity to contribute to a high-performing finance team in a dynamic environment.
- Exposure to a broad range of treasury functions and financial systems.
- Collaborative culture that values accuracy, efficiency, and continuous improvement.
Remarks: Were seeking a candidate to join our team from January to July 2026.