
Treasury Analyst

GoDaddy
Summary
Join GoDaddy's Treasury Department as a Treasury Analyst and play a key role in supporting the team's financial operations. You will execute critical processes ensuring sufficient funds for daily operations and long-term growth initiatives globally. Key responsibilities include cash management, liquidity management, electronic payment execution, and bank account analysis. This remote position requires 2+ years of finance experience in a corporate environment or with a financial provider, ideally within Treasury operations. Strong analytical and quantitative skills are essential, along with proficiency in MS Office products. GoDaddy offers a competitive benefits package, including paid time off, retirement savings options, bonus eligibility, health benefits, and parental leave.
Requirements
- 2+ years of finance experience in a corporate environment or with a financial provider, ideally within Treasury operations
- Demonstrate knowledge of treasury, cash management and accounting principals
- Experience working with internal and external counterparts
- Strong analytical and quantitative skills, with the ability to interpret complex financial data
- Ability to manage multiple high-priority tasks simultaneously, meeting deadlines in a dynamic, fast-paced environment
- Proficient in MS Office products (Excel, PowerPoint, and Word)
Responsibilities
- Support daily cash management activities and cash operations including global forecasting, reporting, and investments
- Assist treasury team with all account openings/closings, treasury services documentation, and signature cards as needed. Organize and maintain corporate bank documents, records, and logs ensuring information is kept current and accurate
- Execute funds transfer transactions including but not limited to inter-account transfers, wire payments, and EFTβs
- Assist with analysis of monthly bank fees for accuracy and recommended cost savings
- Responsible for the setup and maintenance of all online bank users, including approval tracking and organization of access and signer documentation
- Analyze and optimize bank service utilization
- Assist with maintaining treasury procedures manual
- Assist with SOX compliance requirements as needed
- Assist with the preparation of reporting and analysis to Management
- Provide support to various internal departments regarding banking issues, cash management controls and daily treasury needs
- Assist with the tracking and recording of all intercompany loans, including borrowings, refinancing, and pay-downs
- Work on projects and treasury management systems to increase efficiency via automation, improve decision making, or reduce costs as needed
- Ad hoc treasury projects/analysis and treasury operation requests
- Other duties as assigned
Preferred Qualifications
- BS/BA degree (finance, accounting, or economics preferred)
- Experience with Treasury Workstations, SWIFT, or similar Treasury systems
Benefits
- Paid time off
- Retirement savings (e.g., 401k, pension schemes)
- Bonus/incentive eligibility
- Equity grants
- Participation in our employee stock purchase plan
- Competitive health benefits
- Parental leave
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