Overview
On Site
USD 61.00 - 71.00 per hour
Contract - W2
Skills
SaaS
Cash Management
Account Management
Know Your Customer
Real-time
Reporting
Management
Mergers and Acquisitions
Auditing
Internal Control
Testing
Regulatory Reporting
Issue Resolution
Communication
Affinity Propagation
Legal
Regulatory Compliance
Finance
Accounting
Business Administration
Banking
Treasury Management
Financial Software
Treasury
Attention To Detail
Microsoft Excel
Microsoft PowerPoint
Adobe Acrobat
Problem Solving
Conflict Resolution
Collaboration
MEAN Stack
Customer Service
Training And Development
SAP BASIS
Job Details
Software Guidance & Assistance, Inc., (SGA), is searching for a Treasury Analyst for a CONTRACT assignment with one of our premier SaaS clients in San Jose, CA. This is a hybrid role.
We are seeking an experienced Treasury Analyst to join our Treasury Operations team. In this role, you will take ownership of core global cash management processes, ensuring accurate liquidity execution, safeguarding cash controls, and contributing to operational improvements across the Treasury function. You'll work closely with internal teams and external banking partners to support global cash infrastructure, intercompany funding, and treasury compliance.
Responsibilities :
Required Skills :
SGA is a technology and resource solutions provider driven to stand out. We are a women-owned business. Our mission: to solve big IT problems with a more personal, boutique approach. Each year, we match consultants like you to more than 1,000 engagements. When we say let's work better together, we mean it. You'll join a diverse team built on these core values: customer service, employee development, and quality and integrity in everything we do. Be yourself, love what you do and find your passion at work. Please find us at .
SGA is an Equal Opportunity Employer and does not discriminate on the basis of Race, Color, Sex, Sexual Orientation, Gender Identity, Religion, National Origin, Disability, Veteran Status, Age, Marital Status, Pregnancy, Genetic Information, or Other Legally Protected Status. We are committed to providing access, equal opportunity, and reasonable accommodation for individuals with disabilities in employment, and our services, programs, and activities. Please visit our company to request an accommodation or assistance regarding our policy.
We are seeking an experienced Treasury Analyst to join our Treasury Operations team. In this role, you will take ownership of core global cash management processes, ensuring accurate liquidity execution, safeguarding cash controls, and contributing to operational improvements across the Treasury function. You'll work closely with internal teams and external banking partners to support global cash infrastructure, intercompany funding, and treasury compliance.
Responsibilities :
- Execute trade settlements and confirmation execution and process, promptly resolving discrepancies and issues.
- Assist with all aspects of bank account management worldwide, including account openings, closures, signatory updates, and compliance with KYC requests.
- Implement and maintain banking system access and processes, ensuring real-time reporting and secure management of treasury users and activities.
- Support M&A integration efforts, ensuring Treasury Services processes are seamlessly incorporated.
- Reconcile daily and month-end cash activity; prepare accounting entries and support Treasury's month-end close
- Support audits, internal control testing, and regulatory reporting for Treasury Operations
- Assist with banking relationship operations, ensuring service levels, issue resolution, and proactive communication with global bank partners
- Partner across Treasury, Accounting, AP, and Legal to improve end-to-end cash processes and ensure policy compliance
Required Skills :
- Bachelor's degree in Finance, Accounting, Business Administration or a related field, or equivalent experience.
- 7+ years of professional experience in Corporate Treasury or related field.
- Strong knowledge of banking systems including Treasury Management Systems (Kyriba preferred), financial systems and software, payment methods and bank connectivity, and Treasury governance.
- Solid experience and knowledge of confirmation and settlement processes including automation and relevant systems.
- Excellent attention to detail and ability to deliver timely and accurate information in a fast-paced environment.
- Proficiency in Microsoft Office (Excel, Word, PowerPoint) and Adobe Acrobat.
- Excellent problem-solving skills and the ability to collaborate across teams.
SGA is a technology and resource solutions provider driven to stand out. We are a women-owned business. Our mission: to solve big IT problems with a more personal, boutique approach. Each year, we match consultants like you to more than 1,000 engagements. When we say let's work better together, we mean it. You'll join a diverse team built on these core values: customer service, employee development, and quality and integrity in everything we do. Be yourself, love what you do and find your passion at work. Please find us at .
SGA is an Equal Opportunity Employer and does not discriminate on the basis of Race, Color, Sex, Sexual Orientation, Gender Identity, Religion, National Origin, Disability, Veteran Status, Age, Marital Status, Pregnancy, Genetic Information, or Other Legally Protected Status. We are committed to providing access, equal opportunity, and reasonable accommodation for individuals with disabilities in employment, and our services, programs, and activities. Please visit our company to request an accommodation or assistance regarding our policy.
- #LI-JG1
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