What are the responsibilities and job description for the Financial Analyst- Treasury and Cash Management position at TalentSource360?
Fairfax, VA (Hybrid)
Key Responsibilities
- Competitive Compensation: 80,000-100,000
- Comprehensive Benefits Program
- Career Advancement
- Hybrid Schedule
Key Responsibilities
- Execute wire transfers, ACH payments, and other cash transactions accurately and securely.
- Monitor and analyze daily cash inflows and outflows to maintain optimal liquidity.
- Prepare cash flow forecasts and identify trends to guide financial decision-making.
- Coordinate with internal teams to ensure timely collections and payments.
- Maintain relationships with banking partners to optimize banking services and reduce costs.
- Manage the opening, closing, and maintenance of corporate bank accounts.
- Maintain relationships with banking partners to optimize banking services and reduce costs.
- Manage the opening, closing, and maintenance of corporate bank accounts.
- Execute wire transfers, ACH payments, and other cash transactions accurately and securely.
- Prepare and present regular cash flow and liquidity reports to senior management.
- Analyze and recommend improvements to cash management policies and procedures.
- Monitor key financial metrics and ensure compliance with corporate financial objectives.
- Ensure compliance with internal controls, treasury policies, and external regulations.
- Identify and mitigate risks associated with cash management activities.
- Bachelor’s degree in Finance, Accounting, Economics, or a related field.
- Certification in Treasury or Cash Management (e.g., Certified Treasury Professional) is a plus.
- 1-3 years of experience in cash management, treasury, banking/lending or financial analysis
- Knowledge of banking systems and MS Excel
- Excellent communication and interpersonal skills for cross-functional collaboration.
- Detail-oriented with a focus on accuracy.
- Ability to work under pressure and meet tight deadlines.
Salary : $80,000 - $100,000