We are seeking a detail-oriented and analytical Cash Management Analyst to join a growing finance firm in McLean, VA. This role is responsible for overseeing daily cash positioning, managing liquidity, executing banking transactions, and supporting broader treasury operations. The ideal candidate will have strong financial acumen, familiarity with banking systems, and experience with cash forecasting and reconciliations.
Highlights:
- Competitive compensation and bonus package
- Industry leading benefit plan
- Career development
- Team oriented culture
Key Responsibilities:
- Monitor and manage daily cash positions across multiple bank accounts and entities
- Prepare short-term and long-term cash flow forecasts to ensure adequate liquidity
- Coordinate intercompany fund transfers, investments, and borrowings
- Support bank account administration, including account openings/closures and user access management
- Reconcile cash-related transactions and resolve discrepancies in a timely manner
- Maintain and enhance treasury systems and banking platforms
- Work with internal departments to support payment processing and optimize cash flows
- Assist in developing and documenting treasury policies and procedures
- Analyze banking fees and identify cost-saving opportunities
- Support audits, regulatory reporting, and compliance activities related to cash and treasury
Qualifications:
- Bachelor's degree in Finance, Accounting, Economics, or a related field
- 3-5 years of experience in cash management, treasury, or corporate finance
- Strong understanding of banking operations and treasury concepts
- Proficiency in Microsoft Excel and treasury or accounting systems (e.g., Kyriba, Quickbooks, NetSuite)
- Excellent analytical, organizational, and communication skills
- High attention to detail and ability to manage multiple priorities in a fast-paced environment
- Knowledge of SWIFT, wire transfers, and payment systems is a plus