Hyland Software

Senior Treasury Analyst

Hyland Software$90K — $120K *
US-AnywhereRemote in United States
Finance & Insurance
Less than 5 years of experience
Job Overview by Ladders

Qualifications

  • 5-7 years of experience in Treasury or finance roles
  • Expertise in cash management and banking operations
  • Proficient in advanced Microsoft Excel for financial analysis
  • Strong oral and written communication skills
  • Excellent organizational and time management abilities
  • Solid analytical and problem-solving skills
  • Experience handling sensitive financial information discreetly

Responsibilities

  • Oversee global banking setup and maintenance for operational efficiency
  • Manage relationships and user access across financial institutions
  • Execute and monitor cash disbursement and payroll funding activities
  • Optimize cash liquidity and fund transfers across entities
  • Support cash forecasting and prepare financial reporting
  • Handle compliance requirements during audits and month-end close
  • Administer treasury platforms and troubleshoot operational issues

Benefits

  • Remote work flexibility
  • Collaborative and supportive team culture
  • Opportunities for professional development and training
  • Involvement in cross-functional projects
  • Access to advanced financial tools and platforms
Full Job Description
Overview
Senior Treasury Analyst

Location: United States Work Setting: Remote

About the Role

The Senior Treasury Analyst is responsible for the management and execution of the cash disbursement process and banking function of the company and its subsidiaries, with a major focus on monitoring and managing cash liquidity.

Your Role Responsibilities? Here's what you'll do.
  • Oversee the setup of bank accounts, routing rules, and ongoing maintenance across global banking platforms, ensuring accuracy, compliance, and operational efficiency
  • Manage the banking infrastructure and relationships, including user access, system administration, and coordination across multiple financial institutions
  • Execute and monitor cash disbursement activities, including settlement approvals, payment processing, payroll funding, and intercompany transactions
  • Monitor cash liquidity by managing fund transfers, supporting crypto wallet funding, and optimizing cash positioning across entities
  • Support and contribute to cash forecasting activities, utilizing reporting such as settlement reports, cash sheets, and DSO/DPO tracking to inform decisions
  • Prepare, maintain, and validate financial reporting and analysis, including FX validation, settlement reporting, and cash reconciliation activities
  • Support audit requests, compliance requirements, and month-end close (EOM) processes, ensuring timely and accurate documentation
  • Maintain and upload banking statements and documentation across systems and regions to support operational and regulatory requirements
  • Administer and support treasury and payment platforms, including troubleshooting issues, testing enhancements, and supporting system rollouts
  • Develop and maintain settlement schedules, operational processes, and internal controls to ensure efficiency and accuracy in treasury operations
  • Provide cross-functional support, training, and guidance on treasury processes, acting as a resource for internal stakeholders
Role Essentials
  • Proven experience as a Treasury Analyst with a strong understanding of cash management and banking operations
  • Advanced Microsoft Excel skills with the ability to analyze and interpret complex financial data
  • Strong oral and written communication skills with the ability to interact with all levels of the organization with discretion and tact
  • Strong organizational, multi-tasking, and time management skills with the ability to thrive in a fast-paced, deadline-driven environment
  • Strong analytical, critical thinking, and problem-solving skills with the ability to translate goals into actionable solutions
What We'd Like to See
  • Bachelor's degree in Finance, Accounting, or a related field, or equivalent experience
  • Strong leadership, sound judgment, and business acumen with the ability to influence and mobilize team members and business partners
  • Strong facilitation and project management skills with the ability to drive projects to completion with minimal oversight
  • Demonstrated ability to handle sensitive financial information with discretion and professionalism
  • Self-motivated, collaborative, and able to work effectively both independently and within a team environment
Technology Tools
  • Microsoft Windows
  • Microsoft Office
  • Microsoft Excel
  • Bank of America CashPro
  • Workday

About Hyland Software

Hyland Software is a content services provider and software company that is headquartered in Westlake, Ohio. The company was founded in 1991 and has since grown to become a leading provider of enterprise content management software. Hyland Software's products are used by organizations in a variety of industries, including healthcare, financial services, government, higher education, and more. The company's flagship product is OnBase, a content services platform that provides document management, case management, and business process automation capabilities. Hyland Software has offices in the United States, Europe, and Asia.
Learn more about Hyland Software
Size
4,000 employees
Industry
Founded
1991

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