Treasury Analyst
$65,000–$80,000 year
On-site · Boston, Massachusetts, United States
Job Summary
The Treasury Analyst is an entry-level role within the Management Company Finance team responsible for supporting day-to-day treasury operations, maintaining cash visibility, and assisting with system administration and reporting. Responsibilities include checking bank connections, reviewing daily cash balances, assisting with Kyriba setup and data organization, managing user access, performing balance adjustments, supporting BofA API updates, maintaining Snowflake payment templates, reconciling cash across Kyriba, Snowflake, and bank files, updating budget code rules, supporting cash flow and balance reporting for Private Equity/Private Debt/Co-invest teams, and providing first-line support for payments issues. The role emphasizes meticulous data accuracy, cross-team collaboration, and learning treasury systems and processes in a fast-paced environment.
Required Qualifications
- Bachelor’s degree in Finance, Accounting, Economics, Business, or a related field
- 0–2 years of relevant professional or internship experience; co-op or full-time experience in treasury/finance/banking operations is a plus
- Proficiency in Microsoft Excel; comfortable with multiple banking platforms and financial systems
- Excellent written and verbal communication skills; ability to work collaboratively in a team and independently
- Familiarity with Kyriba, Snowflake, Power BI, or similar treasury and reporting tools is a plus
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