Treasury Analyst
Ascensus
Ascensus is the leading independent technology and service platform powering savings plans across America, providing products and expertise that help nearly 16 million people save for a better today and tomorrow. Position Summary We are seeking a detail-oriented and analytical Treasury Analyst to support daily treasury operations, cash management, banking activities, forecasting, and compliance initiatives. This role is responsible for managing daily cash positions, monitoring banking activity, supporting month‑end close, maintaining banking relationships, assisting with forecasts, and ensuring strong internal controls. The ideal candidate combines treasury expertise with strong Excel skills, sound judgment, attention to detail, and a continuous improvement mindset. Key Responsibilities Prepare and analyze daily treasury and banking activity reports for senior leadership across multiple bank accounts. Perform daily cash management, determine funding requirements, schedule debt payments, amortization payments, and invest excess cash in accordance with the company's investment policy. Assist with short‑term cash forecasting, liquidity planning, identification of key drivers, and variance analysis of forecasted versus actual results. Process cash transfers, wire payments, ACH transactions, checks, positive pay, cashier’s checks, fraud detection and related treasury activity. Record journal entries related to cash transactions and support the month‑end close processes. Investigate and resolve discrepancies in cash transactions and ensure all activity is properly reconciled and documented. Maintain banking relationships and serve as a primary point of contact for banking partners to resolve service issues. Track and analyze bank fees, merchant fees, and banking service levels. Support bank account administration, escrow accounts, KYC, account opening and closing, user access maintenance, signer maintenance, and portal administration. Support internal and external audit activities by preparing schedules, documentation, and compliance support materials. Assist with SOX compliance, escheat processes, internal control testing related to treasury and cash management processes. Partner with Accounting, Accounts Payable, FP&A, IT, Tax, and Operations to resolve issues and improve treasury processes. Support ad hoc treasury projects, system enhancements, bank platform enhancements, technology rollouts, and reporting initiatives. Maintain debt covenant compliance schedules and related reporting files. Support M&A implementation and integration. Manage intercompany settlements, Letters of Credit, and derivative settlements. Qualifications Bachelor’s degree in Finance, Accounting, Economics, Business Administration, or a related field. 3+ years of experience in treasury, cash management, corporate finance, accounting, or related areas. Exposure to Power BI or other reporting tools. Advanced Excel skills, including pivot tables, lookups, formulas, and data analysis. CTP certification or progress toward certification is a plus. An "AI-first" mindset with hands‑on experience utilizing generative AI and machine learning tools for predictive analytics and process scaling. Strong experience with banking activity, cash operations, reconciliations, and treasury reporting. Experience with ERP systems, treasury workstations, or banking platforms preferred (Lawson, Cloud Suite, NetSuite, Trovata, JPM Access, BNY NEXEN, Wells Fargo Vantage). Strong analytical, organizational, and problem‑solving skills. Excellent verbal and written communication skills. High attention to detail, accuracy, and ability to manage multiple priorities in a deadline‑driven environment. Process improvement mindset. Adaptability and willingness to manage shifting priorities. #J-18808-Ljbffr Ascensus
- ...Treasury Analyst Support daily treasury operations by managing cash activity, processing payments, and maintaining banking relationships while ensuring accuracy, compliance, and effective financial controls. Responsibilities Monitor daily cash activity and account balances...Suggested
- ...nearly 16 million people save for a better today and tomorrow. Position Summary We are seeking a detail-oriented and analytical Treasury Analyst to support daily treasury operations, cash management, banking activities, forecasting, and compliance initiatives. This role...SuggestedTemporary workShift work
$82k - $98k
...The Treasury Analyst supports the organization’s cash management, banking operations, and liquidity planning activities. This role is responsible for monitoring daily cash activity, maintaining bank accounts, supporting cash flow forecasting, and assisting with banking...SuggestedTemporary workLocal area$55k - $70k
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$75k
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- ...Resolution and Bermuda and Cayman based Talcott Re. Role Summary The Assistant Treasurer, Capital Markets is an execution‑focused treasury professional who supports the Treasurer in implementing the company's capital markets, liquidity, and funding strategy. The role is...Full time
- ...managing financing transactions, and collaborating across multiple departments. The ideal candidate will have extensive experience in treasury, capital markets, or insurance finance, and will be responsible for financial analysis, project management, and ensuring...
- ...providers to support the company’s financial stability and capital structure. This role is responsible for establishing and enforcing treasury policies, optimizing working capital, and implementing treasury systems and controls that support a multi-entity operating...Temporary workWorldwide
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$82.1k - $172.5k
...extensions, amendments, waivers and ancillary products, including treasury management, FX, interest‑rate derivatives, and commodity... ...be responsible for providing other employees, typically credit analysts, timely, candid and constructive performance feedback. Developing...- Huntington Bancshares, Inc. is hiring a Portfolio Management Associate in Charlotte, North Carolina. The role involves managing a portfolio of commercial loans in partnership with various stakeholders, ensuring credit quality and conducting financial analysis. The ideal...
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...Management organization works with internal partners to underwrite new transactions and manage the existing portfolio of loans. This analyst role supports the REIF/Real Estate Fund Finance Group within Commercial Real Estate, balancing growth and risk management....Work at office- First Horizon Bank is seeking an experienced Senior Credit Analyst to underwrite and service a diverse portfolio of Equipment Finance and Renewable Energy loans and leases, building long-term client relationships while protecting asset quality and driving portfolio growth...
$65k - $75k
Job Overview As a Community Manager, you will provide strong leadership and operational direction on behalf of the Board of Directors and FirstService Residential, overseeing the day-to-day operations and overall success of the community. The ideal candidate will have ...Full timeTemporary workWork at officeLocal areaAfternoon shift$105k - $120k
Finance Manager - JLL Location: Remote – Charlotte, NC Overview We are seeking a seasoned Finance Manager to join our JLL Bank of America Finance team as a key business partner to our high‑performing Account professionals. In this manager‑level role you will drive financial...Daily paidContract workRemote work- Carolina PRG has partnered with a confidential, publicly traded global organization to help build and strengthen its transformational finance leadership team during a critical period of growth, process enhancement, and organizational evolution. As part of this initiative...Work at office3 days per week
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