Treasury Analyst

Faith Technologies, Inc.

**
Treasury and cash management experience
Liquidity planning and cash forecasting
Executing treasury transactions
** Faith Technologies, Inc. is seeking a Treasury Analyst to execute daily treasury operations, manage cash liquidity, and support the development of treasury functions. The ideal candidate will have a background in finance or accounting, with at least two years of relevant experience, and the role offers growth opportunities within a supportive and vibrant workplace culture. **

Job Summary

  • The Treasury Analyst executes day-to-day treasury operations, ensuring daily and forecasted liquidity needs are met and excess cash is deployed within established guidelines.
  • This role supports the continued development and scaling of the treasury function, including treasury system implementation and the establishment of treasury policies and practices.
  • FTI provides many opportunities for energized individuals, offering career development, continued education programs, competitive merit-based compensation, and industry-leading benefits.

Matching Summary

Match Score: 75

** Faith Technologies, Inc. is seeking a Treasury Analyst to execute daily treasury operations, manage cash liquidity, and support the development of treasury functions. The ideal candidate will have a background in finance or accounting, with at least two years of relevant experience, and the role offers growth opportunities within a supportive and vibrant workplace culture. **

Skills & Requirements

Must-have

  • Treasury and cash management experience
  • Liquidity planning and cash forecasting
  • Executing treasury transactions
  • Administering banking platforms
  • Working within control frameworks

Nice-to-have

  • Culture of Care focus
  • Career development opportunities
  • Merit-based compensation
  • Industry-leading benefits

Key Requirements

  • Bachelor's degree in Finance, Accounting or related field
  • 2+ years progressive treasury and cash management experience
  • Experience partnering with FP&A for liquidity planning
  • Hands-on treasury transaction execution
  • Experience operating within defined control frameworks

Work Rights

Not specified

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