Treasury Analyst
National Vision
Why We Exist National Vision is one of the largest optical retail companies in the U.S. with over 1,200 stores in 40 states and Puerto Rico. We help people see their best to live their best through our optical products and services. For more than 30 years, we have been improving lives by providing eye care for value-seeking consumers. We are hiring for a Treasury Analyst to join our growing team! The Treasury Analyst is responsible for managing daily cash and liquidity activities across the organization, ensuring efficient cash positioning, funding, forecasting, investment execution, debt administration, and managing banking operations. This role serves as a key contributor in transforming treasury processes from manual and spreadsheet-driven activities to a centralized Treasury Management System (Oracle), while maintaining strong governance, controls, and business partnerships. The position requires strong analytical skills, attention to detail, and the ability to support treasury operations, banking activities, and process improvement initiatives. The ideal candidate is eager to learn, develop treasury expertise, and contribute to improving cash management and operational efficiency. Essential Functions Cash Management & Liquidity Operations Perform daily cash positioning and liquidity analysis across bank accounts. Manage prior-day cash reporting and reconciliation processes to support treasury decision‑making. Monitor daily cash balances, forecast short‑term liquidity needs, and recommend funding actions. Analyze cash flow trends and identify opportunities to optimize working capital and liquidity utilization. Support development and enhancement of cash forecasting models and reporting tools. Investments & Funding Activities Execute investment and redemption transactions in accordance with treasury policies. Monitor investment portfolios and ensure compliance with approved investment guidelines. Support liquidity planning and funding strategies to maximize returns while preserving capital and maintaining adequate liquidity. Treasury Payments Administration Process treasury‑related payments through banking platforms and treasury systems. Ensure all payments are accurately approved, executed, and documented in compliance with internal controls. Partner with Accounting, AP, and business stakeholders to resolve payment‑related issues. Support transition from manual banking portal activity to automated Oracle Treasury workflows and payment integrations. Additional Functions/Responsibilities Collaborate on Treasury Systems & Process Transformation Support the redesign and implementation of cash management, reporting, and forecasting models. Support treasury technology initiatives, including Oracle Treasury implementation and optimization. Identify opportunities to automate manual processes, improve controls, and reduce operational risk. Participate in testing, validation, and user acceptance activities for treasury system enhancements. Debt Administration Manage debt reset activities and maintain debt‑related records and schedules. Coordinate with banking partners regarding debt facilities, rates, and compliance requirements. Support debt reporting and analysis for treasury leadership. Bank Relationship Management Build and maintain effective relationships with banking partners. Support bank account administration, service reviews, and treasury service enhancements. Evaluate banking products and services to identify opportunities for operational improvements and cost savings. Assist in negotiating banking services and resolving operational issues. Bank Fee Analysis & Optimization Develop and maintain bank fee analysis models and reporting. Review bank service charges and identify opportunities for fee reductions and service optimization. Partner with banking institutions and treasury leadership to improve treasury service economics. Maintain ongoing bank fee monitoring and reporting processes. Process Improvement & Strategic Initiatives Drive continuous improvement initiatives across treasury operations. Develop scalable reporting, forecasting, and analytical models. Support treasury transformation projects, including Oracle Treasury implementation and process standardization. Recommend best practices to strengthen cash visibility, forecasting accuracy, and treasury controls Performs other duties as assigned Complies with all policies and standards Education Four year college degree or equivalent experience. Bachelor's degree in Finance, Accounting, Economics, Business Administration, or related field. (Required) Work Experience 2-4 years strong analytical mindset with a willingness to learn corporate treasury concepts such as cash forecasting, liquidity management, investments, debt administration, treasury systems, and cross‑functional projects (Required) Understanding of corporate treasury, cash flow forecasting, investments, treasury systems, debt, and treasury project management.(Preferred) Additional Skills - Includes Computer/Software Skills Cash management and liquidity planning (Required) Treasury operations (Required) Banking products and services (Required) Investments and funding activities (Preferred) Debt administration (Preferred) Treasury controls and compliance (Preferred) Advanced Excel and financial modeling skills (Preferred) Experience with Treasury Management Systems (Preferred) Experience using banking portals and electronic payment platforms (Preferred) Strong analytical, reporting, and data management capabilities (Preferred) Knowledge of cash forecasting methodologies and liquidity management practices (Preferred) Licenses, Certifications, Professional Affiliations CTP Upon Hire (Preferred) Taking Care of our People! We understand the importance of financial health and security, and because of that, we provide competitive compensation to all associates. We also offer a comprehensive benefits package including health and dental insurance, 401k retirement savings with company match, flex spending account, paid personal time off, paid company holidays, parental leave, employee eyewear discount, and much, much more. At National Vision, we strive to deliver opportunities for professional growth and long‑term career fulfillment. We provide training programs and access to educational courses and pride ourselves on the ever‑increasing amount of promotions from within. We are an equal opportunity employer. We evaluate qualified applicants without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, genetic information, disability, veteran status, and other legally protected characteristics. #J-18808-Ljbffr National Vision
$61.88k - $99.32k
...regulatory requests, and advances initiatives to improve data quality, analytical capabilities, and process efficiency. The Treasury Liquidity Analyst conducts analysis, reporting, monitoring, forecasting and/or reconciliation activities, develops applications, and/or...SuggestedWork at officeLocal areaWork from homeFlexible hours- We are looking for a Senior Treasury Analyst to join our team on a contract-to-permanent basis. This role is ideal for a finance specialist with strong treasury experience who can oversee cash activity, strengthen reporting, and provide meaningful insight into financial...SuggestedPermanent employmentContract work
$56.48k - $125.7k
...Navan is seeking a highly motivated Treasury Analyst to join our growing Finance team. This role will support domestic and international cash management, banking operations, treasury compliance, financial controls, and foreign exchange activities. In this role, you will...SuggestedWork at office$80k - $94k
...Robinhood, our mission is to democratize finance for all. The Treasury Operations team plays a critical role in supporting this vision... ...needed to grow, innovate, and manage cash. As the Senior Treasury Analyst, you will lead our efforts to implement a treasury management...SuggestedWork at officeFlexible hoursShift work3 days per week$75k - $80k
...Company Overview: A leading financial institution with a global presence is seeking a Treasury Analyst to join its team. This role focuses on managing day-to-day funding and liquidity operations. Job Responsibilities: Monitoring daily bank activity, establishing the daily...SuggestedTemporary workBank staffWork at office- ...collectibles experience for fans, partners, and creators. Role Summary Fanatics Collectibles is seeking a proactive and detail-oriented Treasury Analyst to support the company's day-to-day global treasury operations. This is a hands-on role focused on cash positioning, payment...Temporary workFor contractorsInternshipLocal area
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- ...One Brooklyn Health is seeking a Treasury Analyst to manage day-to-day cash management, financial risk, and ad-hoc treasury projects for hospital, clinic, and affiliated facilities. You will prepare cash projections, reconcile bank activity, and support month-end closes...
- ...Job Function/Purpose The Senior Treasury Analyst serves as the functional backbone of the Treasury department, owning the day-to-day execution of global treasury operations while developing toward a people leadership role. The position ensures operational continuity and...
- ...reports Prepare and post cash and accounting general ledger entries and perform reconciliation processes Submit payments through treasury workflows ensuring compliance with internal procedures Support capital call execution by initiating payments, saving and tagging notices...
$130k - $150k
...explosive growth ahead. THE OPPORTUNITY You'll join a three-person treasury team reporting directly to the Treasurer. The team just signed... ..., and go-live activities alongside the Treasurer and Senior Analyst Process and monitor cash transactions, wire transfers, and...Contract workWork at officeRemote workMonday to FridayMonday to Thursday- The primary focus is to support Treasury Planning, Analysis & Operations on a daily basis by supporting any Corporate Finance activities. This role also supports cash administration and processes related to corporate insurance programs. Incumbent will enhance business...Work experience placement
$129k - $142k
...Canada, and Ireland. Come join us! About the Team The AlphaSense Treasury team is responsible for safeguarding the company's financial... ...scalable, high‑growth business. About the Role The Sr. Treasury Analyst will own AlphaSense's global cash management and liquidity...Temporary workRemote work- Best Egg, now part of Barclays, is seeking a detail-oriented Treasury Analyst to join the Payments Processing team in Wilmington, DE. The role focuses on daily reconciliation of customer payment activity, investigating discrepancies, and ensuring transactions reflect correctly...Daily paid
$70k - $75k
...looking for a long-term fit where you can grow in a role, and will be valued and empowered, then we invite you to apply to our Treasury Analyst position in our downtown New York City office. The Position Monitoring firms Operating Bank Accounts which include timely...Full timeWork experience placementWork at office- Our client is seeking a Treasury Analyst to support daily treasury operations, cash management, banking relationships, financial reporting, and financial systems. This role is ideal for a detail-oriented finance professional with strong analytical skills and an interest...
- What You’ll Do We are seeking a Senior Analyst to join our Treasury team. This position initially reports to the Senior Director of Treasury and will support our debt management, covenant compliance and lender reporting. A high level of ownership and curiosity will be...Permanent employmentTemporary workVisa sponsorshipFlexible hours
$65k - $80k
...opportunity employer committed to building a diverse and inclusive team. The Job We are seeking a detail-oriented and analytical Treasury Analyst to join the Payments Processing team. This role will be primarily responsible for the daily reconciliation of customer payment...Daily paidTemporary workWork at officeFlexible hours$66.3k - $100.8k
...Vision Be New York's most loved financial institution by helping our members build their best financial futures Overview The Treasury Analyst supports the Credit Union's treasury function through cash management, liquidity monitoring, funding activities, collateral management...Local areaFlexible hours$76.5k
...Companies and CNBC's World's Top Fintech Companies. About the Role We're looking for a self-motivated and curious Analyst to support our Treasury and Financial Operations across a complex, multi-entity environment. In this role, you will play a key part in ensuring...Temporary workVisa sponsorshipWork visa- ...Places to Work 2017, 2018, & 2022) and nationally (INC 5000 list of fastest-growing companies 10 years in a row). Title Senior Treasury Analyst What are we looking for? We are looking for passionate, detail-oriented, and resourceful individuals who want to be part of...Weekly payTemporary workRelocation
$85.5k - $128.3k
...message the job poster from Harbor Freight Tools Corporate Recruiter | Talent Acquisition at Harbor Freight Tools The Senior Treasury Analyst is responsible for the financial transactions of the company, analyzing cash accounts, recommendations on liquidity and debt,...Full timeTemporary work- Detail-oriented and analytical, the full-time Treasury Analyst will manage daily liquidity, cash forecasting, and banking relationships while collaborating with cross-functional teams to optimize corporate liquidity and ensure smooth treasury operations. Key responsibilities...Full time
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$110k - $140k
Sumitomo Mitsui Trust Bank, Limited in New York is seeking a Treasury Risk Analyst to monitor liquidity risk in the Americas Division, produce stress testing reports, and support timely regulatory reporting. The role requires collaboration with front and back office teams...Work at office- ...GMU”), Americas Division” which performs business functions. The Treasury Team (“MTR”) focuses on Funding Activities and Security and... ...risks within the GMU. Your Position Overview: Treasury Risk Analyst Primarily responsible for monitoring liquidity risks in...Work experience placementWork at officeWork from homeFlexible hours2 days per week
- Job Description Job Description Description: Primarily responsible for monitoring liquidity risks in Americas Division to comply with internal and regulatory requirements. Provide liquidity risk monitoring reports, perform stress scenario updates, and improve reports...Work experience placement
- Brewer Morris is seeking a detail-oriented Treasury professional based in New York to support daily cash operations and reporting. The ideal candidate will manage cash positions, ensure accuracy in reporting, and coordinate with teams for operational efficiency. Experience...Temporary work
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