Senior Analyst, Treasury Resume Samples

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NV
N VonRueden
Norbert
VonRueden
860 Wilkinson Garden
Phoenix
AZ
+1 (555) 675 2957
860 Wilkinson Garden
Phoenix
AZ
Phone
p +1 (555) 675 2957
Experience Experience
Los Angeles, CA
Senior Analyst Treasury
Los Angeles, CA
Jerde and Sons
Los Angeles, CA
Senior Analyst Treasury
  • Maintain and update corporate cash forecasting model and drive accuracy of forecasts
  • Provide analytical support for the development and execution of investment, financing and capital allocation strategies
  • Prepare financial presentations, including assistance with Board Meeting materials
  • Develop and prepare monthly investment reporting and analysis
  • Strong knowledge of application software (including but not limited to: spreadsheet, database, and graphics). Specifically, Microsoft Excel and Microsoft PowerPoint. Additionally, familiarity with using the Bloomberg Terminal and SAP Outlooksoft is a plus
  • Additional responsibilities will include the following: maintaining the monthly and annual global cash flow projections, updating schedules to support the accounting and financial reporting process, and developing presentations for Senior Management/Board of Directors
  • Provide support for rating agencies, analyzing draft reports and providing guidance as reports are published
Detroit, MI
Senior Analyst, Treasury
Detroit, MI
White-Kunde
Detroit, MI
Senior Analyst, Treasury
  • Partner with business and corporate treasury across multiple functions to place cash/proceeds pre and post disposal
  • Partner with business and corporate treasury across multiple functions to manage the functional currency impacts, analysis of equity placements and operational cash, hedge strategy, and associated accounting/governance
  • Monitor and communicate P&L impacts in relation to Treasury activities, primarily hedge close outs
  • Lead restructuring projects as and when necessary from a Finance perspective, both Trailing COE and HQ
  • Own IDAG coordination and documentation, representing the Trailing COE for related initiatives
  • Partner with Simplification and Integration teams to drive upstream efficiencies, transition knowledge
  • Liaise with other stakeholders across Capital businesses and functions, to support execution on above
present
New York, NY
Senior Analyst, Treasury Services
New York, NY
Bernhard and Sons
present
New York, NY
Senior Analyst, Treasury Services
present
  • Identify efficiency and effective opportunities beyond work-packages assigned
  • Thinking “outside of the box” and assisting team members in identifying creative solutions to alleviate process inefficiencies and pain points
  • Working collaboratively and building strong relationships with colleagues in Treasury, Performance and Reporting, Investment Finance, Operations, and Information Technology groups
  • Developing User Acceptance Testing (“UAT”) test cases and test data
  • Supporting a culture of continuous improvement within the Treasury Services team
  • Exemplifies our Guiding Principles of partnership, integrity and high performance
  • Strong working knowledge of Visio, Power Point, Excel including VBA and Access
Education Education
Bachelor’s Degree in Intellectual Curiosity
Bachelor’s Degree in Intellectual Curiosity
Virginia Commonwealth University
Bachelor’s Degree in Intellectual Curiosity
Skills Skills
  • Advance proficiency in Excel including ability to summarize data via formulas, lookups, Pivot Tables, conditional formatting, etc
  • Strong interpersonal skills and an ability to interact professionally with a diverse group, executive, managers, and subject matter experts
  • Detailed oriented, independently motivated, strategic thinker who is committed to producing high quality reports and assessments
  • High capacity for strategic thought and the ability to solve complex business problems
  • Understating of banking environment, treasury product and reporting knowledge
  • Knowledge of Banking environment, understanding of treasury function and treasury products, regulatory and reporting skill
  • The ability to adapt to a rapidly changing business environment with low to moderate supervision
  • The ability to work independently and s uccessfully engage in multiple initiatives simultaneously
  • Demonstrated ability to prioritize work and manage time in a deadline-driven environment
  • Proficiency in Microsoft Office Suite (Word, Excel, Outlook)
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15 Senior Analyst, Treasury resume templates

1

Senior Analyst Treasury International Resume Examples & Samples

  • Cash! Monitor cash accounts both domestic and international, report on cash positions and make recommendations
  • Bank Relations! Partner with banking institutions from basic account maintenance to improving efficiencies, and enhancing and obtaining better services
  • Risk management! Assess and recommend improvements to reduce risk, manage insurance relationships including handling renewals
  • Accounting! Participate in and assist with proper accounting including month end, year end accounting tasks
  • 5-10 years of experience in treasury function
  • International treasury experience
  • Poised professional who has effective interpersonal and communication skills and who will thrive in a fast paced, positive, yet ever changing company culture
  • Bachelor’s degree preferably in accounting, finance or business
  • CTP/Certified Treasury Professional is a plus
2

Senior Analyst, Treasury Resume Examples & Samples

  • A person with a broad understanding of Finance with the ability to apply Finance theory to solve practical business issues
  • Excellent oral/written communication and presentation skills
  • Strong knowledge of application
3

Senior Analyst, Treasury Resume Examples & Samples

  • Partner with business and corporate treasury across multiple functions to place cash/proceeds pre and post disposal
  • Partner with business and corporate treasury across multiple functions to manage the functional currency impacts, analysis of equity placements and operational cash, hedge strategy, and associated accounting/governance
  • Monitor and communicate P&L impacts in relation to Treasury activities, primarily hedge close outs
  • Lead restructuring projects as and when necessary from a Finance perspective, both Trailing COE and HQ
  • Own IDAG coordination and documentation, representing the Trailing COE for related initiatives
  • Partner with Simplification and Integration teams to drive upstream efficiencies, transition knowledge
  • Supervise and coach/support team of if required
  • Liaise with other stakeholders across Capital businesses and functions, to support execution on above
  • Go-to CTA and functional currency expert for disposals
  • Partner with operations team to maintain intercompany borrowing agreements and partner with simplification team to close out intercompany loans
  • Understanding of GE operational accounting, specifically deal/disposal/tax
  • Proven ability to grasp new finance concepts quickly
  • Positive attitude with a focus on continuous process improvement and an open mind to change
  • Excellent organizational and communication skills, including project management
  • Extensive proven experience in financial / operational area, some exposure to GE finance/business development processes
  • Effective working knowledge of IT incl use of Word, Excel, Power point
  • Willingness to travel at times
  • Must submit your application for employment through gecareers.com to be considered (note, internal applicants via COS)
  • Must be willing to work out of an office in Dublin, Ireland
  • Strong analytical mind set
  • Ability to manage team
  • Excellent time management/organization skills
  • Self confidence
  • Awareness of deadlines
  • High level of accountability
4

Senior Analyst, Treasury Resume Examples & Samples

  • Manage integration of internal customers into foreign exchange hedging and intercompany lending programs including approval processes, documentation, system setup, and training
  • Review and publish monthly accounting fx rates
  • Document, evaluate, and improve the company’s foreign exchange exposure management and intercompany lending processes in an ACE framework by tracking turnbacks, maintaining process metrics, and determining root causes
  • Manage the design, development, testing and implementation of Foreign Exchange Request and Intercompany Loan Request System (FXR/ILR). Ensure timely delivery of FXR/ILR enhancements supporting the SAP Treasury implementation
  • Assist with the design, development, testing and implementation of SAP Treasury implementation
  • Develop required skills in the use of Quantum and SAP treasury systems including knowledge of processes and transactions, maintenance of Treasury data, and running and developing reports
  • Assist with acquisition due diligence and integration of acquired companies into Treasury's foreign exchange and intercompany lending programs
  • Assist with analysis, documentation, and execution of holding company transactions
5

Senior Analyst, Treasury & Capital Resume Examples & Samples

  • CA / MBA / CGA / CMA / CFA
  • Able to apply designation/experience in a FI
  • 5 - 7 plus years corporate work experience
  • Building relationships with treasury and FTP team
  • Support product profitability analysis
  • Support planning and forecasting of liquidity and funding needs
  • Provide monthly support to business and corporate group related to FTP
  • Build quarterly decks for senior executives review
  • Build RWA modeling tool
  • Manage planning and forecasting of RWA
  • Partner with Capital team
  • Support Monthly CFO meeting
  • Hands on familiarity with banking products in a retail and commercial banking environment and associated general ledger accounting, balance sheet, revenue & capital reporting for approximately 7 yrs
  • Good knowledge in Funds transfer pricing concepts
  • Must have strong financial report modeling skill using excel & InSight. In excel must have good experience in writing macros, using access and pivot tables
  • Experience in SQL in advantageous but not essential
  • Strong influencing skills
  • Ability to work with limited guidance
  • Understanding of Basel 3 requirements and balance sheet management
  • Ability to build strong relationship
  • Strong Powerpoint Skills
6

Senior Analyst, Treasury Resume Examples & Samples

  • Maintain liquidity model and dashboard
  • Identify ways to improve current departmental inefficiencies and reporting processes through Essbase-based process automation
  • Provide various ad-hoc analysis/schedules upon request
  • Assist with weekly, quarterly and annual internal reporting requirements
  • Track and report departmental Key Performance Indicators
  • Assist in forecasting Fund inflows and outflows using the Liquidity Portal
  • Assist with quarterly line of credit debt compliance reporting
  • Financial modeling, analytical and quantitative/qualitative skills
  • Strong interpersonal skills and an ability to interact professionally with a diverse group, executive, managers, and subject matter experts
  • Detailed oriented, independently motivated, strategic thinker who is committed to producing high quality reports and assessments
  • The ability to adapt to a rapidly changing business environment with low to moderate supervision
  • The ability to work independently and s uccessfully engage in multiple initiatives simultaneously
  • Minimum 3+ years of relevant work experience
  • Knowledge of Oracle a plus
  • Efficiency in Microsoft Office Suite 2013
  • Advance proficiency in Excel including ability to summarize data via formulas, lookups, Pivot Tables, conditional formatting, etc
  • Excel VBA
7

Senior Analyst, Treasury Control Resume Examples & Samples

  • Production of the monthly financial results including P&L decomposition and explanation of main drivers
  • Comprehensive analysis and validation of the balance sheet position
  • Monthly, quarterly, half yearly and year end statutory and regulatory reporting processes, including disclosure notes and commentaries for external financial reporting and liaising with internal stakeholders
  • Review of new funding deals for accuracy of accrual & mark-to-market P&L as well as accounting treatment
  • Ensuring compliance and control of specific accounting processes and practices and looking for opportunities for improvement and efficiencies
  • Professional accounting qualification (CA/CPA)
  • Ambition to excel in Treasury Finance and to influence business outcomes, drawing on a solid technical understanding of financial products used by Treasury businesses
  • Commercial curiosity, and the ability to try a range of techniques to solve problems
  • A self-starting and inquisitive mind, able to self-manage according to timelines, priorities and outcomes
  • Experience working in a dynamic environment with proven capability to deliver great business results
8

Senior Analyst Treasury Resume Examples & Samples

  • An advanced degree in mathematics, finance, statistics, economics, or related field is required
  • 5+ years direct work experience in ALM in a banking or related field
  • Advanced experience with ALM systems, specifically QRM
  • Knowledge of advanced programming languages such as C++ or C# preferred
  • Experience in applied financial quantitative analytic techniques
  • Experience with multiple aspects of treasury risk management (ALM, modeling, foreign exchange, hedging, etc.)
  • Excellent organizational skills with sound judgment and vision
  • Strong communication skills with the ability to clearly articulate complex topics at all levels of the organization
  • Ability to develop and maintain collaborative relationships throughout the organization
9

Senior Analyst, Treasury Services Resume Examples & Samples

  • Supporting multiple initiatives at once with varying degrees of ownership while working closely with colleagues in Treasury Services and across other departments
  • Effectively gathering and documenting requirements to achieve the desired end-state, in a manner that accommodates for core business partner needs
  • Creating quality documentation and working collaboratively with the project team to identify documentation requirements
  • Documenting process workflows to clearly articulate the business process and associated roles & responsibilities
  • Developing User Acceptance Testing (“UAT”) test cases and test data
  • Executing UAT Testing, documenting results and following up on issue resolution
  • Completing Operational /Procedural documentation
  • Supporting the transition of new business processes from UAT to production
  • Supporting a culture of continuous improvement within the Treasury Services team
  • Thinking “outside of the box” and assisting team members in identifying creative solutions to alleviate process inefficiencies and pain points
  • Identify efficiency and effective opportunities beyond work-packages assigned
  • Working collaboratively and building strong relationships with colleagues in Treasury, Performance and Reporting, Investment Finance, Operations, and Information Technology groups
  • Actively communicating information to key initiative stakeholders
10

Senior Analyst Treasury Resume Examples & Samples

  • Ensure payment flows are timely funded by headquarters as well as maintaining minimum idle balances in the bank
  • BA or BS degree in an Accounting or Finance
  • 3-5 years of experience within the field of Treasury Operations/ Cash Management / In-house banking, in a multinational
  • Knowledge and experience in working with treasury management systems (i.e. SunGard ICMS), major banking systems
11

Senior Analyst, Treasury Resume Examples & Samples

  • Provide Treasury Back Office (BO) expert support to analyst in delivering BO related services to BASC‘s customers. Also to ensure deliverables are in accordance with established processes and work procedures and in compliance with BASF policies, internal control requirements and local company legal and statutory requirements
  • Ensure that service timelines and service quality are met by Analyst in the delivery of BO processes
  • Effectively coordinate changes within BO and support improvement initiatives and projects by working with all parties involved in order to go live
  • Extensive review of task performed by BO team in delivering services to BASF group companies
  • Provide guidance and training to the analyst to effectively performing BO related function
  • Back-up in absence of Manager on BO daily operation
  • Coordinate internal, external and FRC audit activities for BO. Liaise with internal and external auditors
  • External experience in a shared service or business process outsourcing engagement especially for treasury service delivery including some experiences in supervising will be preferable
  • General understanding of bank accounts, loans, currency exchange, derivatives, cash pooling, netting, treasury
  • Operation and risk management
  • General understanding of local regulatory requirements on domestic fund transfer, cross-border payment
  • Transactions and trading of financial instruments
  • Self-motivation, high service quality orientation and good time management skills
  • Drive for performance excellence and process innovation
  • High learning ability and team player mentality
12

Senior Analyst, Treasury Resume Examples & Samples

  • Monthly balance sheet and cash flow hedging exposure forecast, hedge execution, and results reporting
  • Currency and risk analysis to mitigate exposure to the P&L
  • Perform complex analytics and problem solving
  • Ensure a cost effective hedge approach
  • Partner with cross functional teams on hedge strategy and determine accounting implications
  • Support of daily cash liquidity requirements of cash management operations
  • Provide support on debt issuance, stock buybacks and debt compliance process
  • Liaison for insurance related issues
  • Improve upon established Treasury processes, procedures, policies, SOX controls and audits
  • Support the development and maintenance of Treasury systems to ensure the accuracy of financial reporting and optimization of “Treasury Best Practices”
  • Project lead for adhoc Treasury and Finance projects such as due diligence for acquisitions
  • Bachelors or Master’s Degree in Accounting, Business, Economics, Finance or related discipline
  • Ideally 1-3 years of Foreign Exchange experience; Corp Finance or cash management a plus but not required
13

Senior Analyst, Treasury Resume Examples & Samples

  • Identify and evaluate FX exposures
  • Co-manage the Balance Sheet Hedging Program
  • Execute on foreign exchange trades
  • Analyze and present FX results to Senior management
  • Evaluate daily cash position and perform cash operations for the Americas cash pools
  • Analyze cash operations and execute on process improvements
  • Support special risk management/ insurance projects with analysis
  • Support oversight of pension investments
  • Provide analytical evaluation for corporate finance projects such as capital allocation, credit ratings, share repurchase, and financing
  • Typically 4 years of relevant experience and Bachelors or Master’s Degree in Business, Economics, Engineering or Finance
  • Must have proficiency in Foreign Exchange, advanced financial modeling and corporate finance theory
14

Senior Analyst, Treasury Resume Examples & Samples

  • Track, automate and report departmental Key Performance Indicators (KPIs)
  • Identify ways to improve and automate current departmental processes and reporting
  • Automate ad hoc liquidity forecasting and reporting processes
  • Create departmental dashboards using Power BI Desktop
  • Liaise with banks and internal departments
  • Analytical and quantitative/qualitative skills
  • Minimum 2+ years of relevant work experience
  • Knowledge of Oracle and Power BI or similar platform a plus
  • Efficiency in Microsoft Office Suite 2013 and Power BI Desktop
  • Planning - Identifies business needs, problems and risks proactively, and develops well founded plans that specify strategies, actions/solutions, risk mitigants and desired results
15

Senior Analyst, Treasury Resume Examples & Samples

  • Address core cash management issues for North American/Latin American Treasury
  • Assist with the cash management needs for Latin America
  • Prepare and maintain departmental procedures
  • Analyze and improve bank pricing
  • Support property level real estate cash management needs
  • Oversee Treasury, Analyst
  • Assist and act as backup to Liquidity Portal management and related reporting/research
  • Manage credit line liquidity for Real Estate Fund 4
  • Monitor daily cash flows and cash requirements for Real Estate Fund 4
  • Prepare quarterly covenant compliance calculations and reports
  • Prepare capital call reporting per credit facility requirements
  • Manage cash flow excesses and deficits as they relate to potential funding requirements
  • Prepare various monthly credit facility reports and interest calculations
  • Support for various special weekly/monthly reporting requests
  • Act in a backup capacity to other departmental duties
  • Detailed oriented, independently motivated, strategic thinker
  • Minimum 2-5 years of related work experience preferred
16

Senior Analyst, Treasury Resume Examples & Samples

  • Participate in the company’s Investor Relations activities including presentations for debt investors, research analysts, credit insurers, conferences, and investment banks
  • Additional responsibilities will include the following: maintaining the monthly and annual global cash flow projections, updating schedules to support the accounting and financial reporting process, and developing presentations for Senior Management/Board of Directors
  • Must have a strong understanding of corporate finance concepts such as fixed income, WACC, DCF; knowledge of valuation techniques and capital markets; basic grasp of, and desire to understand the TRU capital structure
  • Strong knowledge of application software (including but not limited to: spreadsheet, database, and graphics). Specifically, Microsoft Excel and Microsoft PowerPoint. Additionally, familiarity with using the Bloomberg Terminal and SAP Outlooksoft is a plus
17

Senior Analyst, Treasury Resume Examples & Samples

  • Work in conjunction with London delivery managers and change team
  • Implementation of changes to reporting as the regulatory environment evolves E.g. Basel III Net Stable Funding Ratio and Liquidity Coverage Ratio
  • Share team’s independent testing responsibilities for ensuring key controls are maintained across all outputs
  • Maintenance and development of check lists, procedures and business
  • Process documentation
  • Support M&IB change process and continuous improvement initiatives in BAU or arising from Projects
  • Support production of monthly MI pack
  • 0-2 years of relevant experience preferably in liquidity reporting space within a global bank
  • Understating of banking environment, treasury product and reporting knowledge
  • Understanding of Banking business and products
  • Knowledge of Banking environment, understanding of treasury function and treasury products, regulatory and reporting skill
  • Experience within a treasury environment
18

Senior Analyst, Treasury Risk Resume Examples & Samples

  • Excellent interpersonal skills and ability to work in a highly time-sensitive, dynamic and growing environment
  • Advanced skill in MS Excel modeling and use of Macros
  • Proficient in Power Point and other MS Office product, query tools and Bloomberg
  • Solid work ethic and dedication to excellence
  • Knowledge of economics, financial accounting & analysis, accounting, statistics, corporate finance and banking
  • Quantitative knowledge and statistics
  • Bachelor’s degree in business, accounting or finance required. Master’s in Business or Statistics preferred
  • At least Three (3) years of professional experience required
  • Financial industry experience is desirable
19

Senior Analyst, Treasury Resume Examples & Samples

  • Creates and maintains the Company’s cash flow forecast and budget. Determines optimal corporate borrowing levels through modeling and initiates investments with excess cash in a manner that optimizes capital preservation, liquidity and income generation. Creates Treasury reports related to cash flow projections, cash flow variances, revolving bank debt, and letters of credit
  • Monitors corporate debt for interest and fee payments; verifies the accuracy of all calculations and initiates payment. Forecasts company interest expense and interest income. Calculates accrued interest expense/income and submits appropriate journal entries. Creates, approves, and/or transmits outgoing wire transfers as approved by management
  • Responds to internal and external audit requirements and inquiries. Ensures Sarbanes-Oxley Act (SOX) compliance with respect to applicable Treasury related key controls. Maintains accurate records, provides documentation, and explains processes as requested
  • Responsible for opening and closing of depository, gift card, and credit card accounts for new restaurants, as well as orders restaurant banking supplies. Updates banking database and ReconNet to ensure the Company’s systems are accurate. Verifies GL extracts for completeness and accuracy
  • Prepares and manages the corporate cash deposit for both brands. Partners with internal and external stakeholders to identify proper general ledger coding and responds to deposit inquires as needed. Reconciles corporate accounts, prepares journal entries to post to the general ledger, identifies inaccuracies or variances, and initiates corrections/adjustments. Assists with period end reconciliations; compiles and maintains accounting records and supporting documentation; researches issues and follows-through to resolution
  • Conducts and documents various complex corporate finance analyses and research on a project basis (i.e. evaluating the Company’s capital structure and financing alternatives, etc.). Works independently to compile financial data, analyzes information and develops conclusions, including; identifying and researching variances and trends, notifies management of inconsistencies or inaccuracies; identifies opportunities for improving analysis processes and procedures. Makes recommendations and provides expertise in the development of systems, procedures, and controls; ensures the accuracy and quality of completed projects and reports, assesses requirements, determines appropriate application
  • Responds to various inquiries and requests for information and refers complex matters to management; produces scheduled reports/statements and provides explanation of data as needed. Proactively develops and maintains technical knowledge in Treasury and remains up-to-date on current trends and best practices. Performs special projects associated with new technological advances in treasury/cash management/banking, including researching and identifying potential vendors or products and performing cost/benefit analysis. Analyzes product viability in JIB environment and presents findings to management and/or project teams
  • Analyzes the company’s annual financial statements and calculates corporate financial ratios, including determining the Company weighted average cost of capital and incremental borrowing rate and provides it to cross-functional departments for project and lease evaluation purposes
  • Creates, approves, and transmits outgoing wire and ACH transfers as approved by management and maintains accurate records and provides documentation as requested. Act as support and functional back-up for one or more job functions in the department
  • Bachelor’s degree or equivalent, preferably in Finance, Accounting or related field
  • 4-6 years professional-level Treasury experience strongly preferred. Experience in Financial Analysis or Accounting also considered. Strong understanding of SOX controls and processes
  • Solid knowledge of accounting/financial concepts and techniques. Excellent working knowledge of MS Office. Solid working knowledge of Oracle and ReconNet, preferred. Strong understanding of capital markets and corporate finance theory
20

Senior Analyst Treasury Resume Examples & Samples

  • Participate in the creation of complex financial models (working capital, liquidity, cash flow, pro-forma P&L/BS/CF statements) and provide analytical support for the development and execution of financing, investment and capital allocation strategies
  • Participate in managing the relationship with the existing bank syndicate(s) including creating presentations for lenders, investor requests, due diligence for new participants, and participating in the negotiation of amendments and refinances
  • Provide support for rating agencies, analyzing draft reports and providing guidance as reports are published
  • Master of Business Administration is required
  • Corporate finance or Accounting experience strongly preferred
  • A team player that gets results by working with people as a problem solver and decisive decision maker
  • Excellent oral/written communication and presentation skills; Superior analytical skills
  • Self-motivated with a high degree of intellectual curiosity