Financial/Treasury Analyst
2 days ago
Location: Decatur, GA (Lawrenceville Highway)
Pay: $70,000 - $80,000 per year
Schedule: Full-time, onsite for the first three months, then hybrid (2-3 days per week onsite)
Our client is a community-focused nonprofit known for its impactful workforce development and career services. With a dynamic approach to retail, including growing eCommerce and boutique-style stores, they are committed to innovative growth and maximizing positive impact in the community.
They are looking for you, an experienced Financial/Treasury Analyst with a keen eye for financial details and treasury operations. This direct-hire position offers a great opportunity to make a difference in a mission-driven organization.
What you get to do:
- Support financial analysis, monthly reporting, and treasury activities.
- Conduct bank reconciliations and manage financial accounts with key partners.
- Develop and refine reports for treasury, workers' compensation claims, and career services.
- Collaborate with internal teams and external providers to manage debt, investments, and related financial activities.
- Partner with Finance leadership to build financial models, enhance budgeting, and support decision-making.
- Bachelor's degree in Accounting, Finance, or related field.
- 1.5-4 years of relevant financial analysis and treasury experience.
- Strong analytical skills and proficiency in Microsoft Excel; experience with Business Central or similar ERP systems preferred.
- Detail-oriented, organized, and able to prioritize effectively in a collaborative environment.
- Benefits: Comprehensive package including 401(k) with match, PTO, health, dental, and vision insurance.
- Flexible work environment: After the initial three months, shift to a hybrid schedule, balancing in-office and remote work.
- Professional Growth: Join a supportive, mission-driven team committed to professional development and positive community impact.
Apply now One of our recruiters will review your profile, and we'll be in contact if you qualify.
#AF123
-
Treasury Analyst
4 days ago
Atlanta, GA, United States Unifi Aviation LLC Full timeRequirements and DescriptionWe are seeking a detail-oriented and analytical Treasury Analyst to support the company's financial operations by managing daily cash flow, analyzing financial data, and assisting with banking and investment activities. This role plays a key part in ensuring the organization's liquidity and optimizing financial performance. Key...
-
Treasury Analyst
16 hours ago
Atlanta, GA, United States Unifi Aviation LLC Full timeRequirements and DescriptionWe are seeking a detail-oriented and analytical Treasury Analyst to support the company's financial operations by managing daily cash flow, analyzing financial data, and assisting with banking and investment activities. This role plays a key part in ensuring the organization's liquidity and optimizing financial performance. Key...
-
Treasury Management Analyst
6 days ago
Atlanta, GA, United States Cadence Bank Full timeDescription Treasury Management Analyst Track The Treasury Management Analyst track is designed to develop future Treasury Management leaders. After the initial training period, analysts in this track will rotate with various Treasury Management teams including sales support & service, implementations, and sales. Completion of the program typically happens...
-
Treasury Management Analyst
9 hours ago
Atlanta, GA, United States Cadence Bank Full timeDescription Treasury Management Analyst Track The Treasury Management Analyst track is designed to develop future Treasury Management leaders. After the initial training period, analysts in this track will rotate with various Treasury Management teams including sales support & service, implementations, and sales. Completion of the program typically happens...
-
Treasury Analyst
2 weeks ago
Atlanta, GA, United States Hertz Full timeJob Description The Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting....
-
Treasury Analyst
4 days ago
Atlanta, GA, United States Hertz Full timeJob Description The Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting....
-
Treasury Analyst
1 week ago
Atlanta, GA, United States Hertz Full timeJob Description The Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting....
-
Treasury Analyst
2 days ago
Atlanta, GA, United States Hertz Full timeJob Description The Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting....
-
Treasury Analyst
6 days ago
Atlanta, GA, United States The Hertz Corporation Full timeThe Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting. The role also...
-
Treasury Analyst
2 weeks ago
Atlanta, GA, United States The Hertz Corporation Full timeThe Treasury Analyst plays a critical role in the day-to-day management of the company's liquidity and banking operations. This position is responsible for determining the company's daily cash position, ensuring accurate and timely reconciliation of cash movements, executing required cash transfers, and supporting short-term cash forecasting. The role also...