Treasury Analyst
Job Title:
Treasury Analyst
Company:
QC Capital
Reports To:
Head of Accounting
Work Arrangement:
Full-Time | In-Office
Position Overview
A Treasury Analyst is responsible for supporting an organization’s cash management, liquidity planning, and financial risk activities. This role ensures the company has sufficient cash flow to meet operational needs while optimizing the use of funds and maintaining compliance with financial policies.
Primary Responsibilities
Monitor daily cash positions and prepare cash flow forecasts (short-term and long-term)
Execute and track bank transfers, wires, and other treasury transactions
Maintain relationships with banking partners and support account management activities
Assist with debt management, including interest tracking and covenant compliance
Support liquidity planning and working capital optimization efforts
Reconcile bank accounts and resolve discrepancies in a timely manner
Prepare treasury reports and assist with month-end and ad hoc financial analysis
Support implementation and maintenance of treasury management systems (TMS)
Ensure compliance with internal controls and regulatory requirements
Qualifications & Experience
Bachelor’s degree in Finance, Accounting, Economics, or related field
1–3 years of experience in treasury, banking, accounting, or corporate finance
Strong Excel and financial modeling skills
Familiarity with banking platforms and cash management processes
Detail-oriented with strong analytical and organizational skills
Ability to work in a fast-paced, deadline-driven environment
Strong communication skills for working with internal teams and external banking partners
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