We have other current jobs related to this field that you can find below

  • Treasury Analyst

    2 weeks ago


    New York, United States New Fortress Energy Full time

    Job DescriptionThe role: NFE is searching for a Treasury Analyst to ensure that the organization maintains adequate daily liquidity at all times and to be responsible for the daily management and enhancement of the core treasury functions. The Treasury Analyst will interface on a regular basis with a number of internal and external stakeholders, including...

  • Treasury Analyst

    2 weeks ago


    New York, United States New Fortress Energy Full time

    Who We Are: New Fortress Energy Inc. (NASDAQ:NFE) is one of the world’s leading natural gas companies with a multi-billion market cap. We are a global energy infrastructure company, and a recognized leader in accelerating the world's transition to cleaner energy. We develop, finance, and operate natural gas facilities, power plants, and logistics...

  • Treasury Risk Analyst

    2 weeks ago


    New York, United States jcw llc Full time

    Were currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. ...

  • Treasury Risk Analyst

    3 weeks ago


    New York, United States jcw llc Full time

    We're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. ...

  • Treasury Risk Analyst

    3 weeks ago


    New York, United States JCW Full time

    We're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...

  • Treasury Risk Analyst

    3 weeks ago


    New York, United States JCW Full time

    We're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...

  • Treasury Analyst

    2 weeks ago


    New York, United States New Fortress Energy Full time

    Who We Are:New Fortress Energy Inc. (NASDAQ:NFE) is one of the world’s leading natural gas companies with a multi-billion market cap. We are a global energy infrastructure company, and a recognized leader in accelerating the world's transition to cleaner energy.We develop, finance, and operate natural gas facilities, power plants, and logistics solutions...


  • New York, United States Tangent International Full time

    Senior Treasury Analyst – Global Operations We are seeking a skilled Senior Treasury Analyst to join our dynamic and growing client. This role reports directly to the Head of Global Treasury Operations and will play a key part in supporting the company’s treasury and insurance programs, driving efficiencies, and improving processes. You will collaborate...


  • New York, New York, United States BLDG SVC 32 B-J Full time

    Job Title: Treasury Operations and Financial Analyst Labor Grade: Department: Finance Reports To: Financial Controller FLSA Status: Exempt, Non-Management About Us:BLDG SVC 32 B-J is dedicated to providing comprehensive benefits and services to its members, ensuring their well-being and financial security. Our core values emphasize Flexibility, Initiative,...


  • new york city, United States JCW Full time

    We're currently working with an international investment bank who are scaling out their treasury team and therefore seeking a liquidity/treasury risk analyst. This individual will work closely with the treasury manager in monitoring liquidty risks and performing stress tests in line with regulations. Must haves: 3+ years of liquidity risk experience. Strong...


  • New York, United States Forum Group Connecticut, LLC Full time

    Senior Treasury Analyst needed for rapidly growing global trading firm in the heart of NYC, known for its innovation in the energy trading sector. With four new offices opened in just the past two years, our firm continues to expand while our competitors remain stagnant. We pride ourselves on fostering a collaborative and supportive environment, where top...

  • Treasury Analyst

    2 weeks ago


    New York, United States Bounce Full time

    About us Bounce is a fintech startup revolutionizing debt management for consumers and creditors with our best-in-class product. By leveraging the power of AI and automation, we create user-friendly experiences that drive positive outcomes for all parties involved. With a team based in Tel Aviv and New York, we have been growing rapidly. We support hundreds...


  • New York, United States LHH Full time

    About the Company: Our Client, a Global Manufacturing leader headquartered in the Raleigh, NC area seeks a Senior Treasury Analyst with Capital Markets transactions experience a must. While the position is remote, EST time zone location will only be considered. About the Role: Capital Structure, debt compliance, risk management and banking relationships...


  • New York, New York, United States Brandon Consulting Associates, Inc. Full time

    Position OverviewPosition SummaryThe Treasury Management Solutions Analyst will be an integral part of the Treasury Management Products, Sales, and Services division at Brandon Consulting Associates, Inc. This role is dedicated to collecting and analyzing requirements from internal stakeholders, synthesizing this information, and documenting it to ensure the...

  • Treasury Analyst

    2 weeks ago


    New York, United States Bounce Full time

    About usBounce is a fintech startup revolutionizing debt management for consumers and creditors with our best-in-class product. By leveraging the power of AI and automation, we create user-friendly experiences that drive positive outcomes for all parties involved.With a team based in Tel Aviv and New York, we have been growing rapidly. We support hundreds of...

  • Treasury Analyst

    2 weeks ago


    New York, United States Bounce Full time

    About usBounce is a fintech startup revolutionizing debt management for consumers and creditors with our best-in-class product. By leveraging the power of AI and automation, we create user-friendly experiences that drive positive outcomes for all parties involved.With a team based in Tel Aviv and New York, we have been growing rapidly. We support hundreds of...

  • Treasury Analyst

    1 month ago


    New York, United States Fontainbleau Full time

    POSITION OVERVIEW The Treasury Analyst will be responsible for facilitating day-to-day deliverables between internal customers within Fontainebleau departments and our banking partners. This position will also be responsible for assisting with the implementation of Treasury processes, internal controls, and cash flow forecasts. ESSENTIAL DUTIES AND...


  • New York, United States Atria Consulting Full time

    As a Senior Business Analyst, you'll be at the forefront of transforming the Treasury Management operations. Your analytical skills and industry expertise will shape the future of products and services, directly impacting the client experience and business growth. Key Responsibilities: Lead requirement gathering and business analysis for high-impact...


  • New York, United States Atria Consulting Full time

    * NO THIRD PARTIES CANDIDATES CAN BE CONSIDERED FOR THIS ROLE As a Senior Business Analyst, you'll be at the forefront of transforming the Treasury Management operations. Your analytical skills and industry expertise will shape the future of products and services, directly impacting the client experience and business growth. Key Responsibilities: Lead...


  • New York, New York, United States ATRIA CONSULTING LLC Full time

    Job OverviewPosition Summary: We are seeking a skilled Treasury Solutions Analyst to play a pivotal role in enhancing our financial services. This position requires a blend of analytical expertise and collaborative spirit to drive impactful projects.Key Responsibilities:Lead Analysis: Conduct comprehensive requirement gathering and business analysis for...

Treasury Analyst

1 month ago


New York, United States $40B AUM Private Equity Fund Full time

Overview of the Position:


The position will assist with overseeing the Cash Management and Treasury processes for the International based Investment Holding Companies of Private Equity Funds. This position will work directly with 1 other Treasury Analyst and Manager in New York, as well as internationally based Team members, and be an integral part of a larger team of Senior and Staff accountants.


Responsibilities will include but are not limited to the following:


• Input and review of wire transfer instructions on various online banking systems relating to operating and investment funds flow through holding company structures.

• Assist with excel bank account reconciliations

• Preparation of weekly cash position and supporting schedules

• Preparations and/or review of budgets

• Assist in coordinating cash needs related to various global credit facilities used for international investments including interest payments etc. Tracking investment cash flows related to investment transactions.

• Assist with various bank account openings. Ensuring opening document agreements are in line with company policy

• Lead on various bank KYC refreshes.

• Ensure accurate maintenance of bank accounts including signatory maintenance, bank fee tracking, and bank lists

• Coordination and planning of monthly cash discussions and updates with foreign office team members.

• Data requests, ad-hoc requests as well as anticipation of needs for internal clients

• Continually being proactive in improving workflow and distribution of relevant information