We are working with a highly reputable NYC real estate firm looking to add a Senior Treasury Analyst to their team.
Responsibilities:
- Manage banking relationships, account setup/maintenance, and KYC documentation
- Monitor daily cash activity and prepare weekly cash summaries
- Execute internal transfers, distributions, and tax payments
- Optimize short-term investments for liquidity and return
- Oversee online banking platforms and user access
- Support integration of treasury tools with internal systems (e.g., fraud controls, ACH)
- Resolve Positive Pay exceptions and manage wire transfers
- Identify automation opportunities and maintain treasury procedures
- Track bank fees and support treasury service requests
Qualifications:
- 5+ years of strong treasury management experience
- Proficiency with Microsoft Excel