About this role
Treasury Analyst at Hearst. Location: New York or New York. Role: managing cash, reconciling banks, forecasting cash Requirements: Approximately 2+ years in treasury/finance or analytical role; knowledge of cash management, strong Excel and analytical skills, clear communication, and interest in treasury systems, automation, and continuous improvement. Category: Finance and Accounting Seniority: Entry Level Tools: GTreasury, SAP, Oracle, Power BI, SQL, Python, ERP systems, electronic banking platforms, Microsoft Excel Commitment: Full Time Workplace: Onsite Languages: English