Treasury Analyst - Full-time / Part-time
| Verified Pay check_circle | Provided by the employer$30 per hour |
|---|---|
| Hours | Full-time, Part-time |
| Location | Washington, DC Washington, District of Columbia open_in_new |
Compare Pay
Verified Pay check_circleProvided by the employer$16.93
$24.77
$30.00
$36.59
About this job
Vacancy: 1
Work Arrangement: Hybrid (3
days per week onsite)
Candidate Location
Requirement: Local DMV candidates only
Location: Washington, DC
20024
Employment Type: Contract
Engagement Type: W2 or
1099 only; no C2C
NDA Requirement: Selected
candidate must be willing to sign an NDA
Dhaka Technologies Limited is
seeking a detail-oriented Treasury Analyst to support cash management,
investment tracking, financial reporting, treasury databases, and related
financial operations for one of its clients.
The selected candidate will play
a key role in preparing daily cash positions, supporting short-term cash
forecasts, reconciling cash transactions, analyzing treasury-related data, and
preparing financial reports for leadership review. This role requires strong
Excel skills, clear communication, strong analytical ability, and a solid
understanding of cash and investment accounting principles.
- Prepare and manage daily cash positions, short-term
forecasts, and cash flow needs.
- Reconcile cash accounts and transactions, including
wire transfers and ACH payments, with general ledger postings.
- Track and analyze cash and investment activity to
ensure accurate and timely financial reporting.
- Develop and interpret analytics related to cash flow,
investments, and other treasury-related data.
- Prepare reports on cash and investment activities,
including cash note reports, investment reports, and cash flow
projections.
- Analyze financial records and data to identify
trends, inefficiencies, discrepancies, and opportunities for improvement.
- Manage and reconcile treasury-related databases and
ensure alignment with operational teams.
- Post entries to ERP and accounting systems in
accordance with established guidelines.
- Assist with final report preparation, including data
editing, charts, presentations, and supporting materials.
- Develop, update, and maintain treasury procedures and
policies to reflect current processes and improve operational efficiency.
- Support cash management functions, reporting needs,
financial analysis, and departmental projects as assigned.
- Communicate treasury reports, findings, and updates
clearly across different levels of the organization.
Requirements
Required Qualifications- Bachelor’s degree in Business, Finance, Accounting,
or a related field.
- Minimum 2 years of experience as a Treasury Analyst
or in a similar finance, accounting, cash management, or financial
analysis role.
- Strong analytical skills with the ability to
interpret complex financial data and identify trends.
- Strong proficiency with Microsoft Excel.
- Proficiency with financial management systems, ERP
systems, accounting software, or related financial reporting tools.
- Solid understanding of cash management, cash
reconciliation, investment activity, and investment accounting principles.
- Ability to prepare, develop, and communicate
financial reports to both leadership and operational teams.
- Excellent written and verbal communication skills.
- Strong planning, organizational, and problem-solving
abilities.
- Ability to work independently and manage multiple
tasks with minimal supervision.
- Ability to work a hybrid schedule with 3 days onsite
per week in Washington, DC.
- Must be a local DMV candidate.
- Must be willing to sign an NDA.
- Experience supporting treasury operations in a
public-sector, enterprise, finance, or highly structured accounting
environment.
- Experience preparing cash flow projections,
investment reports, executive reporting materials, or financial
presentations.
- Experience posting journal entries or
treasury-related entries in ERP/accounting systems.
- Advanced Excel skills, including formulas, pivot
tables, charts, reconciliations, and data analysis.
- Experience improving treasury procedures, financial
reporting processes, or cash management workflows.
The ideal candidate is a finance
professional with strong Excel skills, solid treasury knowledge, and the
ability to communicate clearly with stakeholders at different levels of the
organization. This person should be accurate, organized, analytical, and
comfortable working with cash data, investment activity, reconciliations,
reports, ERP/accounting systems, and treasury-related databases.
Interested candidates who meet
the qualifications should send their resume to: