S

Treasury Analyst

icon briefcase Job Type : Full Time

Number of Applicants

 : 

000+

Click to reveal the number of candidates who applied for this job.
icon loader
Apply Now
icon loader Apply Now

Let AI Supercharge Your Job Hunt!

JobCopilot scans 500,000+ company career sites daily to find jobs for you

Never miss an opportunity Save hours by auto-filling applications forms Land more interviews with tailored applications
happy man
thunder iconActivate JobCopilot

Job Description - Treasury Analyst

About Sonida Senior Living


Sonida Senior Living is one of the nation’s leading operators of independent living, assisted living and memory care communities for senior adults. The Company operates 165 communities that are home to nearly 12,000 residents across 35 states providing comfortable, safe, affordable communities where residents can form friendships, enjoy new experiences and receive personalized care from dedicated team members who treat them family.


Job Description:


The Treasury Analyst is responsible for supporting daily treasury operations, cash management, banking administration, and cash forecasting activities. This role partners cross-functionally with internal departments and banking partners to support accurate cash reporting, timely transaction processing, strong treasury controls, and effective management of banking activities across the organization.


Responsibilities:



  • Maintain the Company’s 13-week cash flow forecast by coordinating updates with internal departments and validating projected cash activity.

  • Manage day-to-day treasury operations across multiple bank accounts, banking platforms, and treasury systems, including monitoring bank balances, reviewing account activity, and identifying funding needs or unusual transactions.

  • Process and support wire transfers, ACH transactions, internal transfers, remote deposits, and other treasury-related banking activities in accordance with internal controls and approval requirements.

  • Perform daily review and processing of ACH Positive Pay and Check Positive Pay exceptions, including approvals, exception handling, and issue resolution.

  • Research and resolve banking, payment, account. and other treasury-related issues accurately and in a timely manner.

  • Prepare and distribute cash activity reports, banking activity reports, reconciliations, and supporting documentation for management, accounting, audit, and lender reporting purposes.

  • Complete bank account setup documentation, account maintenance requests, signer updates, and other banking administrative forms accurately and within required timeframes.

  • Collaborate with Accounting, AP, AR, Operations, IT, and other business teams to support treasury operations, reporting, projects, and organizational initiatives.

  • Maintain organized banking records, treasury documentation, account inventories, and standard operating procedures.

  • Support internal and external audit requests by gathering and providing complete, accurate, and well-organized treasury documentation.

  • Assist with treasury controls, SOX documentation, and compliance-related activities, as applicable.

  • Proactively communicate and escalate issues, discrepancies, delays, or operational risks as appropriate.

  • Effectively manage multiple priorities and competing deadlines in a fast-paced environment while demonstrating accountability, ownership, and attention to detail.

  • Identify, evaluate, and recommend opportunities to improve treasury processes, operational efficiency, reporting accuracy, and internal controls.

  • Participate in special projects, system implementations, process improvement initiatives, and other finance or operational activities as assigned.

  • Provide support for cross-functional initiatives and business needs that may extend beyond traditional treasury responsibilities.


Education and Experience:



  • Bachelor’s degree in Accounting, Finance, Business, or a related field preferred.

  • Treasury, banking, accounting, or cash management experience preferred.


Skill/ knowledge requirements:



  • Strong understanding of treasury operations and cash management activities.

  • Hands-on experience with online banking platforms and treasury management systems.

  • Working knowledge of wire transfers, ACH processing, bank transfers, BAI reporting, and Positive Pay systems.

  • Experience supporting cash forecasting and liquidity reporting preferred.

  • Strong analytical, organizational, and problem-solving skills with a high level of attention to detail.

  • Advanced proficiency in Microsoft Excel.

  • Ability to manage multiple tasks and competing deadlines simultaneously while maintaining accuracy and control.

  • Excellent written and verbal communication skills.

  • Ability to work independently while collaborating effectively across departments.

  • Demonstrates a strong sense of urgency, accountability, and follow-through.

  • Comfortable preparing well-organized, accurate, and audit-ready documentation with minimal follow-up

Original job Treasury Analyst posted on GrabJobs ©. To flag any issues with this job please use the Report Job button on GrabJobs.
Apply Now
Share Job
Share Job

Auto-Apply to Treasury Analyst Jobs with your AI JobCopilot

thunder icon Auto-Apply with AI

Similar Treasury Analyst Jobs in the US

GrabJobs is the no1 job portal in the US, connecting you to thousands of jobs fast! Find the best jobs in the US, apply in 1 click and get a job today!

Mobile Apps

Copyright © 2026 Grabjobs Pte.Ltd. All Rights Reserved.