Position Overview
Job Description
Our client is seeking a Treasury Operations Analyst to support day-to-day treasury functions during temporary leave for a 3-to-4-month contract. This is a hybrid/onsite role in Vancouver, WA and the role is focused on maintaining core cash management processes, supporting internal stakeholders, and ensuring smooth execution of routine treasury operations.
This is a non-strategic, execution-focused role ideal for someone with experience in cash operations, payment processing, or treasury support who is comfortable working in a fast-paced, service-oriented environment. The role is all about supporting cash activity, resolving payment issues, and partnering with internal teams to answer banking-related questions.
Key Responsibilities
Daily Treasury Operations
• Support daily cash management activities to ensure continuity of treasury operations
• Monitor and track cash activity across bank accounts
• Follow established processes to support ongoin...