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Treasury Analyst

Fogelman Properties
🇺🇸 United States
On-site
Manager or above
1 week ago
  • ACH
  • KYC
  • Excel
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Position Overview:

Fogelman Properties is currently seeking a skilled and motivated Treasury Analyst to join our team.  The Treasury Analyst plays a critical role in managing daily cash operations across 275+ bank accounts and supporting our corporate, investment, and property cash management operations. This position offers hands‑on exposure to banking operations, treasury systems, and cross‑department collaboration within a dynamic, growing organization.

 

Duties/Responsibilities:

 

  • Support daily cash management activities, including review of activity in 275+ bank accounts and monitoring of Positive Pay exceptions
  • Execute wire transfers, ACH transactions, and internal cash movements in accordance with treasury controls and approval workflows
  • Monitor, review, and respond to cash management inquiries and requests including check inquiries, stop-payment requests, and the preparation and recording deposits
  • Set up and maintain user access within various banking platforms
  • Assist with management of banking relationships and support the opening, closing, and maintenance of bank accounts
  • Oversee Purchasing Card administration, including funding and reporting
  • Serve as liaison between internal teams and banking partners for operational questions, system access, and issue resolution
  • Collaborate with accounting and other business units on cash management and related matters
  • Assist in KYC, compliance, and bank documentation for corporate and investment entities
  • Support the implementation and maintenance of treasury systems, tools, and internal controls
  • Provide designated accounting support, including recording recurring and other cash-related transactions in the general ledger, assisting with account analysis and reconciliation activities, and communicating relevant account activity to the responsible accounting teams
  • Other duties and special projects as assigned

 

Required Skills/Abilities:

  • Proficiency in Excel
  • Working knowledge of banking platforms or treasury management systems preferred
  • Strong decision making, problem solving, and analytical skills
  • Excellent communication and interpersonal skills, with the ability to collaborate across departments
  • Attention to accuracy and detail required
  • Demonstrated ability to handle confidential information and work in a fast-paced environment

Education and Experience:

  • 4-year college degree or equivalent required.
  • 1-3 years of experience in a related field, preferably in cash management, treasury, or finance.
  • Experience within the multi-family or property management industry preferred.
  • Experience with general ledger entries and other cash-related accounting activities preferred.

Treasury Analyst · Fogelman Properties

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