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Treasury Analyst

Massgeneralbrigham · Massachusetts

📍 Somerville-MA💰 $63,648via workday
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Site: Mass General Brigham Incorporated Mass General Brigham relies on a wide range of professionals, including doctors, nurses, business people, tech experts, researchers, and systems analysts to advance our mission. As a not-for-profit, we support patient care, research, teaching, and community service, striving to provide exceptional care. We believe that high-performing teams drive groundbreaking medical discoveries and invite all applicants to join us and experience what it means to be part of Mass General Brigham. Job Summary Mass General Brigham is seeking a detail-oriented Treasury Analyst to support daily treasury operations. This position is responsible for executing domestic and international transactions, managing daily cash activity, and ensuring accuracy, timeliness, and compliance with internal controls. The role also supports cash management, banking relationships, and treasury reporting in a healthcare environment. Qualifications 2+ years of experience required in   treasury operations/management, payments processing, cash flow analysis or banking   Direct   experience with   wires, ACH, and bank portals strongly   preferred.   Bachelor’s Degree in   finance ,   a ccounting, or related field required ​ Knowledge, Skills and Abilities Solid financial analysis, modeling, and data interpretation skills to make informed treasury decisions. Understanding of treasury principles, cash management, debt management, and investment strategies. Familiarity with financial regulations, accounting principles, and compliance requirements relevant to treasury operations. Excellent communication and interpersonal skills to interact with finance teams, external financial institutions, and senior management. Strong analytical and problem-solving abilities to assess complex treasury situations and provide data-driven insights. Strong attention to detail in high-volume transaction environments Solid understanding of payment types, banking operations, and controls  Ability to meet strict daily deadlines and manage competing priorities.  Proficiency in Excel; experience with Kyriba and Workday are a plus  Effective communication and problem-solving skills  Payments Processing   Process   domestic and international   electronic   transfers   in compliance with approval workflows   using various   applications.   Monitor payment activity, funding requirements, and bank cut-off   deadlines.   R esolve payment exceptions, rejections, and banking   inquiries.   Ensure adherence to internal controls, dual approvals, and fraud prevention   protocols.   Cash Management & Liquidity   Perform   daily cash positioning   and manage intercompany   account   transfers.   Support   cash forecasting and variance analysis,   providing insights   to   leadership.   Commercial Banking & Reporting   Conduct   bank fee analysis   and support account   optimization.   Prepare   ad hoc reports and dashboards   for   management.   Merchant & Treasury Support   Assist with   merchant banking projects,   including device ordering and   setup.   Monitor credit card operations and vendor   relationships.   Manage Treasury shared inbox and funds transfer   requests. Provide treasury system administration   support.   ​​ Essential Functions Assist with cash flow and treasury processes. Monitor outstanding debt and loan agreements. Support treasury projects including best practice research, identification of potential product/operational solutions, performing cost benefit and risk mitigation analysis of solutions, making recommendations, and implementing new products/solutions, as necessary. Perform ad hoc financial analysis, as needed, including contributions to the monthly Treasury Dashboard that gets shared with senior management. Assist in the development and execution of investment strategies for excess cash, working to maximize returns while ensuring compliance with investment policies. Work with banking partners to establish a positive relationship. Complete daily treasury operations, including cash disbursements, cash receipts, and payment processing. Ensure compliance with relevant financial regulations, accounting standards, and internal policies in treasury operations. Additional Job Details (if applicable) Remote Type Hybrid Work Location 399 Revolution Drive Scheduled Weekly Hours 40 Employee Type Regular Work Shift Day (United States of America) Pay Range $63,648.00 - $92,570.40/Annual Grade 6 At Mass General Brigham, we believe in recognizing and rewarding the unique value each team member brings to our organization. Our approach to determining base pay is comprehensive, and any offer extended will take into account your skills, relevant experience if applicable, education, certifications and other essential factors. The base pay information provided offers an estimate based on the minimum job qualifications; however, it does not encompass all elements contributing to your total compensation package. In addition to competitive base pay, we offer comprehensive benefits, career advancement opportunities, differentials, premiums and bonuses as applicable and recognition programs designed to celebrate your contributions and support your professional growth. We invite you to apply, and our Talent Acquisition team will provide an overview of your potential compensation and benefits package. EEO Statement: 0100 Mass General Brigham Incorporated is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religious creed, national origin, sex, age, gender identity, disability, sexual orientation, military service, genetic information, and/or other status protected under law. We will ensure that all individuals with a disability are provided a reasonable accommodation to participate in the job applic

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