Job Description - Treasury Analyst

Description

HealthPartners is hiring a Treasury Analyst. The Treasury Analyst is responsible for supporting the organization’s treasury functions, including cash management, banking relationships, treasury-related systems and reporting. The role provides analytical support and operational execution to ensure effective liquidity management, financial risk oversight, and decision support across the organization.


MINIMUM QUALIFICATIONS: 


Education, Experience or Equivalent Combination:



  • Bachelor’s degree in Finance, Accounting, Business, or a related field or equivalent finance/banking experience.

  • Minimum of 1–3 years of experience in corporate treasury, cash management, banking, or related finance roles.


Knowledge, Skills, and Abilities:



  • Strong working knowledge of Microsoft Excel and other PC-based financial systems.

  • Ability to work effectively with multiple levels of management and across departments. 

  • Effective communication skills, written and oral.


PREFERRED QUALIFICATIONS: 


Knowledge, Skills, and Abilities:



  • Experience with cash reporting platforms.

  • Knowledge of investment accounting, debt administration, or financial risk management concepts.


ESSENTIAL DUTIES: (Includes duties that represent 10% or more of the role’s time and focus)


1. (60%) – Cash & Liquidity Management



  • Support daily cash management activities, including cash positioning, balance reporting, and analysis of cash flows.

  • Maintain and enhance cash management systems related to collections, disbursements, and reporting.

  • Assist with reconciliation of miscellaneous debits and credits and investigate variances. 

  • Process automated payments. 

  • Support Cash Operations team, as needed.


 


2. (10%) – Banking & Treasury Relationships



  • Assist in maintaining relationships with banks and other treasury service providers.

  • Support bank account administration, account analysis review, and banking research as needed


 


3. (10%) – Debt & Investment Support



  • Assist with Debt issuance, compliance and reporting. 

  • Maintain moderately complex investment databases.


 


4. (10%) – Systems, Controls & Compliance



  • Develop, enhance, and maintain treasury-related reporting tools and systems.

  • Coordinate and monitor credit card processing activities and support enterprise payment collection processes.

  • Assist with compliance with National Automated Clearing House Association requirements. 

  • Participate in Treasury business continuity planning and operational readiness efforts.


 


5. (10%) – Analysis & Special Projects



  • Provide research and analysis to support treasury-related financial decisions.

  • Collaborate effectively with finance, real estate, and operational teams on cross-functional initiatives.

  • Participate in special projects as directed by Treasury leadership.

  • Manage team to provide work direction, training, cross-training, development and support.


 



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