Job Title: Treasury Analyst
Work Type: Hybrid working schedule (3 days in office and 2 days remote)
Description:
ESSENTIAL FUNCTIONS:
• Daily cash positioning and reporting
• Input and track wire transfers and other electronic disbursement transactions
• Initiate, execute, and record transactional foreign exchange (FX) contracts to support global business operations, ensuring compliance with internal policies and optimizing currency conversion costs
• Prepare management reports and presentations on treasury activities, cash positions, and financial risks for senior leadership
• Maintain relationships with banking partners and support account management
• Assist in the evaluation and implementation of treasury technology solutions, including treasury management systems and banking platforms
• Assist in the development and implementation of treasury policies and procedures
• Support debt and investment management activities
• Support the documentation and execution of intercompany loans and settlements in accordance with corporate policies
• Ensure compliance with internal controls and regulatory requirements
• Collaborate with accounting, finance, and other departments to support treasury-related initiatives
• Supervise maintenance and update signatories on every global bank accounts
• Handle ACH/wire payments, tax payments, and cash positioning
• Support audits and special projects
• Support global business insurance program and collect exposure information for annual renewal, track renewal tasks and ensure that all policies have been issued and received from insurance brokers
• Stay current on market trends, regulatory changes, and best practices in treasury, risk management, and business insurance
• Perform other tasks as assigned by finance department
Skills & Qualifications:
Education and Experience:
•Bachelor’s degree in finance, accounting, or related field
•2–4 years of experience in treasury, finance, or accounting
•Strong analytical and problem-solving skills
•Proficiency in Excel and financial modeling; experience with treasury management systems is a plus
•Knowledge of banking operations, cash management, and financial instruments
•Excellent communication and organizational skills
•Ability to work independently and as part of a team
•Experience with ERP systems (e.g., D365, Oracle).
•Certification such as CTP (Certified Treasury Professional) is a plus.
•Familiarity with FX, interest rate risk, business insurance
Job Type & LocationThis is a Permanent position based out of West Orange, NJ.
Pay and BenefitsThe pay range for this position is $80000.00 - $100000.00/yr.
Further information on company benefits will be provided throughout the interview process
Workplace TypeThis is a hybrid position in West Orange,NJ.
Application DeadlineThis position is anticipated to close on Jan 19, 2026.
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\n\nAbout Aston Carter:\n
Aston Carter provides world-class corporate talent solutions to thousands of clients across the globe. Specialized in accounting, finance, human resources, talent acquisition, procurement, supply chain and select administrative professions, we extend the capabilities of industry-leading companies. We draw on our deep recruiting expertise and expansive network to meet the evolving needs of our clients and talent community with agility and excellence. With offices across the U.S., Canada, Asia Pacific and Europe, Aston Carter serves many of the Fortune 500. We are proud to be a ClearlyRated Best of Staffing® double diamond winner for both client and talent service.
\n\nThe company is an equal opportunity employer and will consider all applications without regard to race, sex, age, color, religion, national origin, veteran status, disability, sexual orientation, gender identity, genetic information or any characteristic protected by law.
\nIf you would like to request a reasonable accommodation, such as the modification or adjustment of the job application process or interviewing process due to a disability, please email astoncarteraccommodation@astoncarter.com for other accommodation options.
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