Treasury Analyst

Nclusion inc.

$130K — $150K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5+ years in treasury, finance, or related roles
  • Experience with cash management and liquidity forecasting
  • Strong understanding of treasury operations and bank account management
  • Background in fintech or regulated financial services
  • Familiarity with cross-border payments and multi-currency environments
  • Strong Excel and financial modeling skills
  • High attention to detail and operational discipline

Responsibilities

  • Build and maintain treasury models for liquidity decisions
  • Design and manage process controls with a focus on improvement
  • Support FX execution and identify asset yield opportunities
  • Act as a subject matter expert in customer interactions
  • Maintain the Risk Management framework across multiple departments
  • Collaborate with various teams to align treasury operations
  • Develop internal tools to support scalable treasury operations

Benefits

  • 401k with a match
  • Medical, Dental, and Vision Insurance
  • Competitive compensation and equity opportunities
  • Flexible PTO policy encouraging a minimum of 14 days
  • In-office lunches and team events fostering company culture
Full Job Description
About the Role

We're looking for an experienced Treasury Analyst to support and extend our treasury function at the group level. Reporting to the Director of Treasury, this role focuses on liquidity planning, entity-level funding, and operational controls across a growing network of international subsidiaries. You'll act as a day-to-day operational counterpart to the Director, helping execute and operationalize treasury processes while partnering cross-functionally to ensure they are practical, scalable, and aligned with regulatory requirements.

This role is located in Palo Alto, and we spend 4 days a week working in the office with our team, with one day from home!

What You'll Do

  • Build and maintain treasury models to facilitate cash positioning and liquidity decisions
  • Design, implement, and manage process controls, delegated authorities across bank partners and internal clearing systems with a emphasis on continuous improvement
  • Support FX execution, settlement and asset yield opportunities where appropriate
  • Be the subject matter expert for end to end customer interactions across subledger and platform financial services
  • Maintain Risk Management framework across, Operations, Finance, Legal and compliance
  • Partner with FP&A, Accounting, Legal, Compliance, and Product to align treasury operations with business and regulatory needs
  • Contribute to the development of internal tools and processes that support treasury operations as the company scales


What You Bring to the Table

  • 5+ years of experience in treasury, finance, or related roles
  • Experience with cash management, liquidity forecasting, and/or entity-level funding
  • Strong understanding of treasury operations, including controls, bank account management, and payment flows
  • Experience working in fintech, financial services, or similarly regulated environments
  • Familiarity with cross-border payments or multi-currency environments
  • Strong Excel and financial modeling skills
  • High attention to detail and strong operational discipline
  • Comfort operating in evolving environments; French language skills and experience with emerging markets or digital asset infrastructure (e.g., stablecoins) are a plus


Benefits and Perks

  • 401k with a match!
  • Medical Insurance
  • Dental Insurance
  • Vision Insurance
  • Competitive compensation & equity - We believe in sharing success.
  • Flexible PTO - We focus on impact, not tracking vacation days. We encourage a minimum of 14 days.
  • In-office lunch, team events & culture


Compensation

The base pay range for this role is $130,000 - $150,000 per year.

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