Treasury Analyst – NYC, USA / Hybrid

| Job ID: 1845

| New York - Hybrid (4 days per week in office)

| Permanent

| Posted 29 April

Treasury Analyst

Location: New York City – 4 days in office – Read Below to Find Out Why Its 4 Days In-Office!

This is not your typical Treasury Analyst role.

You’ll join a fast-growing insurance business where treasury is highly visible internally and work directly with a Global Treasurer that we previously recruited into the organisation.

Rather than sitting in a large process-driven environment, you’ll be part of a small, collaborative team where your work is seen, valued, and exposed to senior stakeholders across the business.

You’ll gain hands-on exposure beyond traditional cash management, including FX, liquidity strategy, capital markets, and investment operations, while also playing a role in the ongoing Kyriba implementation.

This is the sort of role where you learn quickly, build real commercial exposure, and develop far faster than you typically would in a larger corporate treasury structure.

If you’re currently stuck in a process-heavy position where you’re reporting numbers rather than influencing them, this could be a very different step.

This is a Treasury Analyst role where treasury is genuinely embedded in the business – not sitting on the sidelines.

Why This Role Stands Out

  • Real exposure beyond cash management – You’ll get involved in hedging (FX, interest rates, potentially equity), capital markets, and investment operations
  • High visibility from day one – This is a small, high-energy team, meaning your work is seen, valued, and actually impacts decisions
  • Build, don’t just maintain – You’ll be part of an early-stage treasury function, including a live Kyriba implementation
  • Commercial, not theoretical – You’ll work closely with the business, helping shape liquidity and financial strategy in a growing, private capital-backed environment

The role is based in central Manhattan with 4 days a week in the office.

In this case, that office presence is genuinely part of the opportunity.

The value comes from the face-to-face interaction, visibility to senior leadership, and the ability to learn quickly within a growing treasury team where collaboration and relationship-building matter.

What You’ll Be Doing

This is a hands-on treasury role with exposure across cash management, liquidity, FX, risk, and strategic treasury projects.

You’ll be involved in:
• Daily cash positioning, liquidity monitoring, and forecasting
• Payments, investments, FX transactions, and banking relationships
• Supporting FX and interest rate hedging activity
• Cash flow analysis, reporting, and stakeholder insights
• Treasury projects including liquidity planning and Kyriba development
• Working closely with finance and operational teams across the business

This is not a narrow, process-only treasury position.

You’ll gain broad exposure across the treasury function while working in a fast-moving environment where your contribution is visible from day one.

What We’re Looking For:

  • At least 2 years’ experience in treasury or financial analysis
  • Strong Excel and analytical capability
  • Exposure to treasury systems (Kyriba is a big plus)
  • Understanding of financial markets and risk concepts

But just as important:

  • You’re curious and want to learn more than just your job description
  • You’re comfortable in a fast-paced, high-energy environment
  • You want a role where you can interact with people, not just spreadsheets

Why Join?

You’ll join a business that’s growing quickly and investing heavily in its treasury function.

That means:

  • More exposure
  • More responsibility
  • Faster development

If you want to move from being a treasury executor to someone who actually influences the business, this is the kind of role that can get you there.

 *NOTE : Our client is unable to provide relocation or visa sponsorship support for this position. Applicants must already have the right to work in the US and be based within commuting distance.*

Mike is recruiting for this job

To apply, please complete the form below or email your CV to mike@treasuryrecruitment.com. If you wish to discuss the role further, please call on +1 312 612 0933.

Apply for this job

IMPORTANT NOTICE

We specialize solely in Corporate Treasury recruitment and DO NOT handle BANK, SALES & TRADING positions.

Additionally, we can only support candidates who currently hold a VALID WORK VISA or are applying for roles within their home country.

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