Treasury Analyst II- 25010266

MoneyGram United States

Company

MoneyGram

Location

United States

Type

Full Time

Job Description

The Treasury Analyst II will manage and report on the cash flows of all MoneyGram companies and associated branches. Ensures sufficient liquidity is in place to enable companies to meet their cash obligations while also limiting excess working capital balances in order to free up cash for other corporate purposes. The Analyst will effectively plan and help execute daily, weekly, and monthly cash flows in a multi-currency environment and co-ordinate with the Treasury and Accounting team and several other offices to facilitate the effective deployment of cash. Primary Responsibilities • Leverages the quantum workstation and forecasting to manage the flow of cash into and out of assigned bank accounts. • Ensures the flow of funds to support MoneyGram's suite of products and maximizes the use of MoneyGram's operating cash. • Accountable for foreign currency trade settlement activities, including confirmation, documentation, controls, compliance, netting and financial settlement of foreign exchange trades related to the assigned group of foreign currency accounts. • Opens and closes bank accounts and ensures bank mandates/powers of attorney are appropriate and consistent with standard signatory lists and are updated for staff changes. • Liaison with the Legal Department for Board approval of changes. • Develops and maintains a register of authorized signatories and their powers. • Responsible for bank relationship support. • Analyze monthly bank fees, timely payment of those fees, planning and forecasting, and identifying fee opportunities. • Maintains short-term cash forecasts for branch and subsidiary operating accounts, liaison with the business to understand future requirements. • Ensures optimal cash balances are maintained through timely settlement of inter-company balances and pre-funding if necessary. • Initiates and leads cross-functional team members to integrate Treasury processes of business units that are not integrated into the Treasury department, as well as performs other treasury initiatives as assigned. Qualifications Any combination of relevant education and experience and/or related professional designations/certifications in this field is highly desirable. Education • Minimum Required: BA/BS in Accounting, Finance, Economics or related field or equivalent experience • Association of Corporate Treasurers' Certificate of International Cash or Association for Finance Professionals (Certified Treasury Professional), preferred Experience • 3+ years' experience in treasury operations with focus on cash management and short term cash forecasting. • Experience working with international accounts, preferred. • Experience working within quantum Treasury Management System, preferred. Essential Skills • Proven proficiency in financial analysis, modeling and forecasting. • Strong analytical and problems solving skills. • Demonstrated organization and time management skills with the ability to handle multiple priorities in a dynamic environment with limited supervision. • Ability to work with all levels of the organization to understand business goals. • Ability to plan strategically and breakdown to effective tactical steps. • High degree of accuracy and attention to detail. • Demonstrated ability to work independently. • Demonstrated ability to think strategically and turn data into meaningful conclusions. • Must be self-driven and able to maintain focus on issues and escalate as necessary. • Proficient in Microsoft Word, Excel, Access preferred. • Strong oral and written skills. Primary Location: United States of America Job: Treasury Organization: Finance : Full-time Travel: No Job Posting: Jun 4, 2025, 11:51:19 AM
Apply Now

Date Posted

06/04/2025

Views

0

Back to Job Listings ❤️Add To Job List Company Info View Company Reviews
Neutral
Subjectivity Score: 0

Similar Jobs

Privacy Assurance Program Analyst - TrustArc

Views in the last 30 days - 0

This job posting outlines a Privacy Assurance Program Analyst role with responsibilities involving regulatory research program development and complia...

View Details

Senior Full Stack Engineer - Teleport

Views in the last 30 days - 0

Teleport emphasizes security innovation and empowering engineers with a flexible platform The company highlights its trusted status among major client...

View Details

SEC Reporting Manager - HighLevel

Views in the last 30 days - 0

HighLevel seeks an SEC Reporting Manager to handle public company filings with expertise in GAAP and SEC regulations The role involves process improve...

View Details

Managing Director AMER Advertising Solutions - Kochava

Views in the last 30 days - 0

Kochava offers a unified platform for advertisers and publishers focusing on measurement and attribution Theyre seeking a Managing Director to lead sa...

View Details

Member of Technical Staff Atlas - Anchorage Digital

Views in the last 30 days - 0

Anchorage Digital promotes itself as a leading crypto platform for institutions emphasizing innovation security and growth opportunities The company h...

View Details

Account Manager QSR - Fetch

Views in the last 30 days - 0

Fetchs Rewards App has earned over 1 billion in rewards and 5 million fivestar reviews The company emphasizes innovation employee growth and strong cl...

View Details