Position Summary
The Treasury Analyst I plays a key role in supporting the organization’s cash management and treasury operations. This position is responsible for daily cash positioning, banking administration, liquidity forecasting support, payment processing oversight, debt administration, and treasury reporting. The successful candidate will bring strong analytical and organizational skills, attention to detail, and a desire to develop a career in corporate treasury and finance.
This role offers the opportunity to work closely with Accounting, Financial Planning & Analysis (FP&A), Accounts Payable, and banking partners while gaining exposure to critical financial processes that support the organization’s operational and strategic objectives.
Essential Duties and Responsibilities
Cash Management & Liquidity Monitoring
Cash Forecasting & Financial Analysis
Treasury & Banking Administration
Payments & Treasury Operations
Debt Administration & Compliance Support
Reporting & Process Improvement
Qualifications and Requirements
Education
Experience
Knowledge, Skills, and Abilities
Behavioral Competencies
Working Conditions and Physical Requirements
Disclaimer
This job description is intended to describe the general nature and level of work performed by employees assigned to this position. It is not intended to be an exhaustive list of all duties, responsibilities, or qualifications. Management reserves the right to modify job responsibilities based on business needs.
PowerGrid Services, LLC is an Equal Opportunity Employer and values diversity in the workplace.