Metropolitan Companies is seeking a motivated Treasury & Financial Analyst to join our growing team. Reporting to the Director of Treasury, this role offers exposure to both corporate treasury functions and project-level financial analysis, making it an excellent opportunity for an early-career professional looking to build a well-rounded finance skill set.
We offer a competitive total rewards package, including medical, dental, vision, and life insurance; short- and long-term disability coverage; paid holidays and PTO; an annual bonus program; and a 401(k) plan.
Key Responsibilities
Treasury
Support daily cash positioning, bank account monitoring, and liquidity reporting
Assist with intercompany funding activity and internal lending administration
Prepare treasury reporting and reconciliations for management review
Support periodic bank account access reviews and internal control procedures
Assist with ad hoc treasury projects, including process documentation and system improvements
Financial Analysis
Partner with accounting on month-end close to ensure P&Ls are completed accurately and on time
Assist in preparing management presentations and reporting deliverables to meet deadlines
Contribute to continuous improvement of processes, systems, and reporting tools
Skills, Knowledge and Expertise
Competencies
Strong written and verbal communication skills
Excellent organizational skills and attention to detail
Strong analytical and problem-solving skills
Requirements
Bachelor's degree in Accounting, Finance, or a related field
0–3 years of relevant experience, including internships
High proficiency in Excel; VBA and financial modeling skills strongly preferred
Background in construction and/or accounting a plus