.The RoleWe are seeking an Treasury Operations Analystto support our daily cash management processes, debt facility management, and servicing reporting while driving improvements in reconciliation and reporting workflows.
Reporting to the Senior Manager of Treasury, this role will be responsible for executing daily cash movements, preparing daily cash reports, updating cash forecasts, and identifying inefficiencies in financial processes.This position requires strong analytical skills to provide actionable insights through data analysis and a proactive approach to enhancing financial workflows.
The role involves close collaboration with Accounting, FP&A, and Operations teams to ensure financial accuracy, optimize cash flows, and support the company's long-term growth objectives.Roles & ResponsibilitiesDaily Cash Management:Execute daily cash movements, including wires, ACH transactions, and book transfers, while ensuring compliance with fraud prevention protocols.Update the daily cash position and cash forecast.Debt Facility and Forward Flow Reporting:Completeweekly debt draws and reportingas well asmonthly reportingfor all debt facilities to ensure compliance and accurate financial tracking.Support the tracking of loan sales, ensure compliance with eligibility criteria, reconcile cash flows resulting from these sales, and address related reporting requirements.Reconciliation:Complete daily, weekly, and monthly reconciliations of bank accounts and system transactions.Investigate and resolve variances by collaborating with internal and external partners.Ensure timely and accurate reporting to support compliance and audit requirements.Data Analysis and Reporting:Update and maintain treasury data tables inDatabricks, ensuring data accuracy, consistency, and availability for reporting and analysis.Use SQL and financial tools to analyze transaction data, generate reports, and provide actionable insights.Support financial planning initiatives.Process Improvement:Contribute to the consolidation of operating accounts into a single bank to streamline cash movements, optimize workflows, and improve accuracy.Identify inefficiencies and gaps in reconciliation processes, cash management, and proactively recommend and support improvements to enhance operational efficiency.Collaboration:Act as a liaison between treasury and other teams to ensure alignment on financial processes and goals.Support treasury-related projects, and investment strategy execution.Skills and Qualifications3+ years of experience in treasury operations, cash management, or a related financial role.Advanced proficiency in Excel and working knowledge of SQL.Strong analytical skills to identify trends, troubleshoot discrepancies in financial data, and deliver actionable insights.Detail-oriented with a proven ability to manage multiple priorities accurately and meet deadlines in a fast-paced environment