Job Description
As a member of the accounting team at Branch, you’ll have the opportunity to shape and grow the company and business. You will be a key player of a small team comprised of high performing accounting and finance professionals that work across departments to provide financial support to senior management and department leaders to facilitate decision making. The Senior Treasury Analyst will be responsible for managing our company’s cash flow, investments, and financial risk to maximize efficiency and profitability. The role requires a strong understanding of the FinTech industry, excellent analytical skills, and the ability to work effectively in a fast-paced environment.
Responsibilities include, but are not limited to:
Manage relationships with banking institutions, coordinating account setup and maintenance, service and process updates, and resolution of banking issues
Record and reconcile bank activity for cash accounts, ensuring timely and accurate alignment with internal financial systems
Monitor daily cash positions and manage liquidity to ensure sufficient funds for operational needs
Optimize cash concentrations and disbursements, and develop strategies to maximize operational efficiency
Conduct regular cash flow forecasting and update as necessary to reflect changing business conditions
Prepare accurate and timely financial reports detailing the company’s treasury activities, including cash positions, forecasts, and variances
Leverage technology to improve treasury operations, including the use of treasury management systems
Recommend and implement process improvements to increase efficiency and accuracy of treasury operations
Ensure compliance with internal controls, policies, and regulatory reporting requirements.
Perform special projects as assigned
About Branch
Branch empowers workers with financial freedom by accelerating payments and providing accessible, free financial services.