Senior Treasury Analyst
Location: East Coast, USA | Highly Flexible Working
Are you looking for a Senior Treasury Analyst role with far more ownership and exposure than the title might suggest?
We are working with a leading global advisory business seeking a Senior Treasury Analyst to lead its U.S. Treasury operations and support a wide range of global projects.
Reporting directly to the Treasurer, you will combine hands-on Treasury responsibilities with high-profile work across FX, forecasting, acquisitions, technology and AI. You will also present U.S. cash forecasts to the Global CFO and work closely with Accounting, M&A, Legal, Tax and Financial Reporting.
What you will be doing
- Leading daily cash management across the Americas and Asia
- Managing U.S. cash forecasting and investment recommendations
- Supporting the development of FX reporting and a global hedging programme
- Managing intercompany loans and global cash remittances
- Supporting acquisitions, Treasury due diligence and integration
- Helping implement and operate Ripple Treasury TMS
- Developing new Treasury technologies, including AI
What we are looking for
You will have at least five years of Treasury or corporate finance experience, strong financial modelling and Excel skills, and experience leading cross-functional projects.
You must be comfortable combining detailed operational work with analysis, project ownership and senior stakeholder exposure. Experience with FX, cash forecasting or Ripple Treasury would be beneficial.
This is a highly flexible role for candidates based across the East Coast. However, it is not 100% remote, and you must be able to spend regular time in the New York office.

