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Treasury Associate

Work Schedule: Monday - Friday, 8: 00 AM to 5:00 PM Long Island City, New York time
 
Client Timezone: Eastern Time Zone
 
Client Overview:
Join a thriving, billion-dollar construction company specializing in electrical contracting! This industry leader is experiencing rapid growth and expansion, managing multiple entities across the northeastern United States. With a strong focus on innovation and excellence, they’re seeking talented professionals to support their financial operations and contribute to their continued success.
 
Responsibilities:
  • Treasury Functions:
  • Bank Balance Monitoring: Daily reconciliation and managing of all bank balances related to E-J Electric to ensure sufficient liquidity for operations.
  • Wire/ACH Transfers: Execute domestic and international wire transfers while managing
  • proper approvals for payments.
  • Cash/Investment Reporting: Prepare daily and weekly cash & investment reports to provide an overview of company liquidity and investment status.
  • A/P Approvals: Review weekly check runs and accounts payable payments that need to be released.
  • Intercompany Loan Receivables/Payables Tracking: Monitor and track inter company loans to ensure proper accounting and reporting - including interest accrued.
  • Projection Analysis: Assist in cash flow projections, providing insight into future liquidity needs based on current cash positions and forecasted expenditures.
  • Cash Trend Analysis: Analyze cash flow trends and report findings to senior management for improved decision-making.
  • Equipment Loan Financing: Support the tracking and reporting of financing for equipment loans.
  • Tuition Program: Oversee approvals for tuition-related reimbursements and ensure alignment with company policies.
 

Requirements

Technical Skills:

  • Strong proficiency in Excel and other Microsoft Office applications.

  • Experience with banking platforms and financial software/tools.

  • Knowledge of accounting principles and inter company loan management.

  • Familiarity with wire/ACH transfer procedures, both domestic and international.

  • Understanding of cash flow forecasting and liquidity management.

Analytical & Reporting Abilities:

  • Strong analytical skills with the ability to interpret financial data and identify trends.

  • Experience preparing cash/investment reports and performing variance analyses.

  • Ability to assist with financial projections and cash trend analysis to support strategic decisions.

Communication & Collaboration:

  • Excellent written and verbal communication skills.

  • Comfortable working with internal departments (Accounts Payable, Accounting, Management).

  • Proven ability to communicate findings and recommendations to senior management.

Attention to Detail & Organization:

  • Exceptional attention to detail and accuracy in financial record keeping.

  • Highly organized with the ability to manage multiple priorities and meet deadlines.

Other Requirements:

  • Ability to handle confidential and sensitive financial information with discretion.

  • Self-starter with a proactive approach to identifying and resolving issues.

  • Knowledge or experience in managing tuition reimbursement programs is a plus.

  • Bachelor’s degree in Finance, Accounting, Economics, or a related field

  • Experience in construction, engineering, or related industries is a plus.

  • 3+ years of experience in treasury, cash management, or a similar finance function.

Independent Contractor Perks
HMO Coverage for eligible locations
Permanent work from home
Immediate hiring
Steady freelance job

Treasury Associate

Job Category

Job Type

Full Time (35 hours or more per week)

Work Schedule and Timezone

Long Island City, NY 11101

Published on

Jan 23 2026