Strategic Treasury Analyst — Cash Flow & Risk
NU USA Northeastern University
NU USA Northeastern University in Boston is seeking an experienced Senior Treasury Analyst to lead advanced treasury operations including strategic cash flow management and financial risk assessment. The ideal candidate will oversee detailed cash flow strategies, maintain banking relationships, and provide training to junior analysts. This role requires 4-6 years of relevant experience, a B.S. in Accounting, Finance or Economics, and strong analytical skills. Exceptional benefits such as paid time off and tuition assistance are offered. #J-18808-Ljbffr NU USA Northeastern University
- ...Description The Treasury Analyst plays a key role in managing... ...liquidity, financial risk, and banking... ...responsible for daily cash positioning, forecasting... ...positioning and cash flow reporting. • Monitor... ...liquidity for operational and strategic needs. • Support...CashRisk
$67.86k - $95.85k
Northeastern University in Boston is looking for a Senior Treasury Analyst to lead advanced treasury operations including strategic cash flow management, financial risk assessments, and investment analysis. The ideal candidate will have a B.S. in Accounting, Finance, or...CashRisk$67.86k - $95.85k
About the Opportunity This Senior Treasury Analyst will lead advanced treasury operations, including strategic cash flow management, financial risk assessment, and investment analysis. The role serves as a subject‑matter expert on treasury processes and provides guidance...CashRiskWork experience placementRemote work$67.86k - $95.85k
Senior Treasury Analyst This position leads advanced treasury operations, including strategic cash flow management, financial risk assessment, and investment analysis. Serves as a subject matter expert on treasury processes and provides guidance to junior analysts. The...CashRiskWork experience placementRemote work$60k - $90k
...Treasury Operations Analyst - Insurance Liquidity Forecast Boston or Des Moines... ...credit and real assets and has strategic partners that manage hedge... ...Administrators (TPA), Risk Management, and Accounts Payable... ...including accounting, cash reconciliations, operational...CashRiskWork experience placementLocal area$46.99k - $112.2k
...Manages the organization's financial assets, cash flow, and liquidity by overseeing cash... ...operational departments, to understand their treasury-related needs and expectations.... ...relationships and payments. Act as backup analyst for other Aetna liquidity managers within...CashHourly payFull timeTemporary workWork experience placementLocal area$55k - $65k
...created role on our growing Treasury Team and we are seeking... ...Senior Treasury Analyst to join as we expand our... ...Account Management and Cash Management, reporting to... ...based on current cash flow forecasting models and... ...institutions to mitigate fraud risk, settle discrepancies...CashRiskTemporary workWork experience placementWork at officeLocal areaWorldwide$112.1k - $225.5k
...USA, Canada Job Responsibilities Leads strategic finance and FP&A consulting engagements,... ...financial models, including operating, cash flow, valuation, and transaction models, to support... ...investment opportunities, and potential risks. Interprets financial, market, and...CashRisk- ...Position: Treasury Analyst Location: Boston, MA (100% On-Site) Length: 12+ Month Contract... ...aspects of liquidity management, investments, risk management, and capital structure... ...of Benefits and external brokers. Cash management / short-term investing:...CashRiskContract workTemporary work
- ...Title: Treasury Analyst Type: 6 Month Contract Location: Cambridge, MA - 3 days in office... ...aspects of liquidity management, investments, risk management, and capital structure... ...benefits leadership, and external brokers. Cash Management and Short-Term Investing...CashRiskContract workTemporary workWork at office
$115.9k - $152.1k
...Investment Tax Accountant - Special Projects & Strategic Initiatives Investment Taxes,... ...non-taxable. Assist in analyzing tax cash flows on structured securities to achieve... ...exists because people are willing to share risk and resources, and rely on each other when...CashRiskFull time$85.1k - $161.7k
...financial analysis and modeling to support strategic finance, FP&A, and transaction-related... .... Develops and maintains operating, cash flow, and valuation models to support planning... ..., growth opportunities, and potential risks. Supports mergers and acquisitions, integrations...CashRiskFull timeWork experience placementInternshipLocal area$130.5k - $166.75k
...guesswork with real visibility, transforming cash flow from a constant source of stress into a... ...businesses. We’re looking for a Strategic Operations Manager - Partnerships to join... ...dive analyses on funnel conversion, churn risk, partner engagement, and seasonal trends...CashRiskSeasonal work$128k - $168k
...Investment Accounting Manager - Strategic Programs Investments and Corporate Subsidiaries... ...reporting, tax, policy and controls, cash operations, corporate finance data and systems... ...because people are willing to share risk and resources, and rely on each other when...CashRiskFull timeWork at officeRemote workFlexible hours- The Massachusetts Institute of Technology (MIT) is seeking a Financial Analyst for the Treasury office. The role involves operational support and detailed analysis of cash operations, liquidity management, and financial planning. Required qualifications include a bachelor...CashWork at office
$128.34k - $205.34k
...and shared success. Your Impact As the Strategic Finance Manager, you will report directly... ...of the company’s P&L, Balance Sheet, and Cash Develop weekly, monthly and quarterly reporting... ...forecast process and identify key risks & opportunities Identify and implement model...CashRiskWork at officeRemote work$160.3k - $297.7k
...within Biomedical Research? As Director, Strategic Delivery, you will sit at the heart of Data... ...,escalatingand mitigating risks and delivery challenges ~ Maintain... ...compensation will include a performance-based cash incentive and, depending on the level of...CashRiskRelocation package- ...Description FirstLight is seeking a Strategic Financial Analyst to support financial planning and analysis... ...and long-range planning. Support cash flow analysis and liquidity planning in... ...and identify key drivers and risks. Assist with board, lender, and executive...CashRiskLocal area
$170k - $267.5k
...we are looking for The Alpha Head of Cash Service Product Development and Strategy,... ...driven by client value, scalability, and strategic impact rather than client-specific... ...across technology, architecture, operations, risk, compliance, and implementation. Own organizational...CashRiskTemporary workWork at officeFlexible hoursShift work$159.8k - $209.7k
...directly shape financial insights, influence strategic decisions, and drive the future of... ...life pricing, assumptions development, risk management ~3+ years' exposure to valuation... ...US insurance products, pricing, and cash flow testing/projection methodologies. Deep...CashRisk$145k - $185k
...aircraft, engines, and parts, along with cash flow financing for manufacturers, service... ...activities to maximize value and minimize risk, while communicating portfolio insights... ...Drive portfolio performance through strategic transaction recommendations and execution...CashRiskWork at office$110k - $130k
...join us. The position will serve as both a strategic advisor and an enthusiastic champion for... ...partner metrics and feedback to identify risks and opportunities, balancing long-term... ...industry What We Give In Return Competitive cash and equity compensation Health benefits...CashRiskRemote jobImmediate startWorldwideFlexible hoursShift work- ...client in Boston, MA that is seeking a Senior Treasury Analyst.Responsibilities: Coordinate and support all aspects of cash management and liquidity planning Monitor and... ...Perform financial analysis related to cash flow, debt, and investments Administer Treasury...CashHourly payContract workTemporary work
- ...Held About the Role The Company is in search of a strategic and hands-on Chief Financial Officer (CFO) to lead and scale... ...a high-performing finance team, as well as to manage cash flow, capital allocation, risk, and potential M&A activity. The CFO will also be tasked...CashRiskRemote work
- ...oversee budgeting, forecasting, financial reporting, cash flow management, and compliance functions, while providing strategic financial insight and recommendations to... ...manage audits, strengthen internal controls and risk management processes, support mergers, acquisitions...CashRisk
- ...s long‑term growth objectives. Provide strategic financial insights to the CEO and executive... ...strategies for mitigating supply chain risks, such as vendor concentration, raw... ...gross margins, and working capital. Manage cash flow, investments, and capital expenditures,...CashRisk
$141.8k - $232.2k
...Responsibilities Key Responsibilities Strategic Value & Executive Alignment Serve as... ..., cost optimization, revenue enablement, risk reduction, and enterprise ROI. Partner... ...Revenue cycle performance and cash acceleration Workforce productivity and...CashRiskTemporary workFlexible hours$75k - $90k
KBW Financial Staffing & Recruiting is assisting a client in Boston, MA, seeking a Treasury Analyst. The position involves managing cash flow forecasting and liquidity planning, with a hybrid work model requiring four days in the office. Candidates should have a bachelor...CashWork at office$125k - $130k
Consulting Senior Analyst - Risk & Resilience Job ID: 104398 Boston New York City... ...portfolio management), stress testing, cash-flow modeling, and hedging. You'll work on client... ...sophisticated modeling techniques and strategic decision-making processes. YOUR GROWTH...CashRiskHourly payApprenticeshipWork at officeEasy work- Audax Group in Boston is seeking a Treasury Analyst to support its finance team in maintaining cash visibility and reporting. This entry-level role involves daily tasks... ...managing bank connections, assisting with cash flow reporting, and system administration in Kyriba. The...Cash
Do you want to receive more vacancies?
Subscribe and receive similar vacancies to Strategic Treasury Analyst — Cash Flow & Risk. Be the first to apply!
- treasury analyst Boston, MA
- transaction risk analyst Boston, MA
- operational risk consultant Boston, MA
- governance risk & compliance analyst Boston, MA
- it risk analyst Boston, MA
- information risk analyst Boston, MA
- risk compliance officer Boston, MA
- operational risk specialist Boston, MA
- risk analyst Boston, MA
- third party risk analyst Boston, MA


