Treasury Analyst – South Fulton, GA
Contract / Temporary Position
Why This Opportunity Stands Out
This Treasury Analyst opportunity is ideal for an experienced accounting or finance professional looking for a contract position where they can step in and support day-to-day treasury operations.
- Hands-on treasury role with exposure to cash management and banking activities
- Opportunity to work closely with accounting and finance leadership
- Great contract opportunity for someone with established treasury experience
- Broad exposure to cash positioning, reconciliations, and financial reporting
- Collaborative environment where you can make an immediate impact
Key Responsibilities
As the Treasury Analyst, you will:
- Manage daily cash positioning and monitor bank account activity
- Perform bank reconciliations and research cash discrepancies
- Process and monitor ACH and wire transactions
- Assist with cash forecasting and liquidity reporting
- Support treasury reporting, month-end activities, and other cash management needs
Qualifications
Ideal candidates for this Treasury Analyst role will have:
- 3+ years of treasury, cash management, or related accounting experience
- Experience with bank reconciliations, cash positioning, ACH, and wire transactions
- Strong Excel skills and ability to work independently in a contract environment
Why This Role?
This contract Treasury Analyst position is a great fit for someone who already has a solid treasury foundation and can quickly step in to support cash management and daily treasury operations.
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