Treasury Analyst Dallas

Dallas, Texas

esrhealthcare
Apply for this Job
Job Description search of a Financial Analyst, Treasury. The ideal candidate will have a strong understanding of cash management in conjunction with an understanding of accounting profit and loss and balance sheet impact. Please take some time to review the job description and apply if interested. Someone from our team will get back to you in 24-48 hours if we feel you are an initial match. Primary Responsibilities Responsible for the Treasury Management System (GTreasury) including administration and reporting Assist with Liquidity Management maximizing interest opportunities while managing cash balance thresholds Manage the reporting of the Liquidity Portfolio Partner with accounting and finance to develop liquidity modeling and forecasting Assist the Treasury Manager with various banking responsibilities as needed Responsible for periodic review of security processes across the Treasury platform Periodic review of Bank health, investment rates and fees etc Troubleshoot and work to resolve bank related issues Assist in various standard reporting and ad-hoc projects for enterprise-wide and individual shareholders requiring commitment to accuracy, timeliness and confidentiality Desired Skills & Experience Bachelors degree in Finance, Accounting or related field 3+ years progressive treasury experience Treasury Management System experience is a plus Displays versatility and resourcefulness in a dynamic environment with shifting priorities Advanced proficiency in Excel/Microsoft Office suite Microsoft D365 F&O and Power BI experience is a plus
Date Posted: 17 March 2025
Apply for this Job