FreshRemote.Work

Sr. Treasury Analyst

NY-New York, 230 Park Ave

Together we fight for everyone’s opportunity for a better financial future.

We will do this together — with customers, partners and colleagues. We will fight for others, not against: We will stand up for and champion everyone’s access to opportunities. The status quo is not good enough … we believe every individual and every community deserves access to financial opportunities. We are determined to support both individuals and communities in reaching a better financial future. We know that reaching this future depends on our actions today.

Like our Purpose Statement, Voya believes in being bold and committed to action. We are committed to a work environment where the differences that we are born with — and those we acquire throughout our lives — are understood, valued and intentionally pursued. We believe that our employees own our culture and have a responsibility to foster an environment where we all feel comfortable bringing our whole selves to work. Purposefully bringing our differences together to positively influence our culture, serve our clients and enrich our communities is essential to our vision.

Are you ready to join a company with a strong purpose and a winning culture? Start your Voyage – Apply Now

Get to Know the Opportunity:


The Sr. Treasury Analyst will play a crucial role in managing the company’s cash, liquidity, and financial risks. The successful candidate will report to our Head of Liquidity Management and will provide key analytical support to the Liquidity Risk and Capital functions while providing critical backup support for the liquidity operations function.

Please Note:  Work location for this role is FLEXIBLE! This position allows 100% remote work from home or allows work to be performed in any of our major office locations with a hybrid schedule. 

The Contributions You'll Make:

  • Monitor and analyze liquidity risk exposures, including cash flow projections, stress testing, and scenario analysis, to identify potential risks and develop appropriate mitigation strategies.

  • Strategically allocate cash to optimize interest income, leveraging banking products and services that align with the company’s financial goals.

  • Collaborate with key stakeholders to identify and implement innovative treasury solutions, leveraging emerging technologies and industry best practices.

  • Support strategic decision-making by providing data-driven insights and recommendations on capital allocation and management initiatives.

  • Conduct in-depth analysis of share repurchase programs and debt issuance to identify trends and opportunities for capital optimization.

  • Implement business intelligence tools to automate the generation of financial reports, enhancing …

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