Treasury Analyst

Posted 7 Days Ago
Be an Early Applicant
Canton, MA, USA
Hybrid
60K-70K Annually
Junior
Financial Services
The Role
Support treasury middle office by overseeing reconciliations, payment controls, transaction processing, settlement activities, and treasury reporting. Investigate and resolve exceptions, ensure compliance with controls and regulatory requirements, collaborate with front/back office and reconciliations teams, and drive process improvements to mitigate financial and operational risk.
Summary Generated by Built In

Location: Canton, Massachusetts (Hybrid)    

In this position, you’ll be based in Canton, MA office for a minimum of three days a week, with the flexibility to work from home for some of your working week. Find out more about our flexible work culture at computershare.com/flex.  

We give you a world of potential

Treasury Middle Office Analyst

Serve as a key control and oversight function within Treasury, ensuring the accuracy, validation, reconciliation, and foreign exchange activities. Responsible for maintaining accurate investigating reconciliations exceptions, supporting treasury reporting, and strengthening controls to mitigate financial and operational risks. Partner with Front Office, Back Office, and reconciliations teams to drive process improvements, ensure compliance, and uphold strong governance and risk management standards.

A role you will love

Key Responsibilities:

  • Oversee reconciliations, payment controls, transaction processing, and settlement activities to ensure accuracy and compliance.
  • Prepare and analyze treasury reports, and support treasury accounting activities.
  • Ensure compliance with internal controls, regulatory requirements, and treasury policies while mitigating operational and fraud risks.
  • Collaborate with Reconciliations Teams, Treasury Front and Back Offices and key stakeholders to support efficient operations and continuous process improvement.
  • Deliver accurate and timely reporting in line with established service levels, including but not limited to reconciliations research.

What will you bring to the role?   

Qualifications & Experience

  • 2-3+ years of treasury, Reconciliations, or related industry experience.
  • Familiarity with cash management, foreign exchange (FX), money market, and investment products.

  • Proficiency in Microsoft Excel (advanced), and Outlook; experience with Treasury Management Systems preferred. Knowledge of databases, Power BI, and VBA/Macros is a plus.

  • Strong analytical, quantitative, and problem-solving skills with the ability to investigate and resolve issues independently related to reconciliations.

  • Results driven: Ability to manage multiple priorities, meet deadlines, and deliver accurate, timely exception resolutions.

  • Excellent written and verbal communication skills with a collaborative approach to stakeholder management.

  • Bachelor's degree in Finance, Accounting, Business, or a related field, or equivalent relevant experience.

 

Key Competencies

  • Attention to detail and strong control mindset
  • Analytical & Methodical thinking and decision-making
  • Teamwork and stakeholder collaboration
  • Effective communication and internal relationship management
  • Ability to work in an evolving environment

Preferred

  • Experience with treasury operations, Reconciliations FX transactions, and related financial reporting.
  • Knowledge of FX concepts and practices

Rewards designed for you 

Paid parental leave, flexible working and a caring and inclusive culture 

Health and wellbeing rewards that can be tailored to support you and your family, including paid time off, observed holidays, medical, dental and vision plans 

Invest in your future with 401k matching, setting aside salary to purchase shares in our company and tax-advantaged flexible spending plans, including healthcare, dependent care and commuter 

Income protection. Our package includes short and long-term disability benefits, life insurance and supplemental life insurance 

And more. Ours is a welcoming and close-knit community, with experienced colleagues ready to help you grow. Our careers hub will help you find out more about our rewards and life at Computershare, visit computershare.com/careershub 

Compensation. The typical base pay range for this role is USD $60,000 - $70,000.

Work visa statement: Applicants must be currently authorized to work in the United States on a full-time basis. We will not sponsor applicants for work visas 

 

 

About Us
A company to be proud of
We're a global leader in financial administration with over 11,000 employees across more than 22 different countries. At Computershare, it’s more than just a job, our open and inclusive culture means that we will help you to grow, to move forward and make the most of our world of opportunities.
Fairness and culture
We want to provide you with the opportunity to succeed on your own merits, starting from the application process and continuing throughout your career with us. Our goal is to create an environment where everyone feels valued, to remove barriers and obstacles and ensure equal opportunities for all. For support with accommodations or adjustments during our recruitment process please visit computershare.com/access for further information.
About the Team
Our Shared Services teams support all of our business lines behind the scenes. Across the world, we have a range of specialisms that ensure the delivery of our business priorities. These include Technology, Information Security, Finance, Risk, Audit, Governance, Marketing and Communications as well as our People team. Join our strategic team and help us look after everything from creating an amazing end to end employee journey to keeping our systems safe. You'll be looking after our people, our clients and their customers, whilst maintaining our exceptional standards around the globe.

Skills Required

  • 2-3+ years of treasury, reconciliations, or related industry experience
  • Familiarity with cash management, foreign exchange (FX), money market, and investment products
  • Proficiency in Microsoft Excel (advanced) and Outlook
  • Experience with Treasury Management Systems
  • Knowledge of databases, Power BI, and VBA/Macros
  • Strong analytical, quantitative, and problem-solving skills with ability to investigate and resolve reconciliation issues independently
  • Ability to manage multiple priorities, meet deadlines, and deliver accurate, timely exception resolutions
  • Excellent written and verbal communication skills and stakeholder collaboration
  • Bachelor's degree in Finance, Accounting, Business, or related field, or equivalent relevant experience
  • Attention to detail and strong control mindset
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The Company
HQ: Melbourne
736 Employees

What We Do

Computershare is the world’s largest stock transfer agent that has pioneered many of the securities industry’s innovations to help companies build and maintain strong relationships with their investors, employees and customers. For more than 35 years, we have grown rapidly in markets around the world to meet the evolving needs of our 40,000 clients. Today, we offer a comprehensive range of professional services including stock transfer, employee equity plans, investor relations, corporate governance and other business solutions. For more information, visit www.computershare.com

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