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Treasury Analyst @ Cotiviti

PHOnsiteFull-timeJob reference 240729
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About this role

At Alorica, we only do one thing – make lives better, one interaction at a time. We’re a global leader in customer service and experience, serving the world’s biggest brands with tens of thousands of employees in hundreds of locations around the globe.

Every day, we aim to live up to our mission of creating insanely great customer experiences. But as Alorica employees, giving back matters just as much – that’s why we’re so proud of Making Lives Better with Alorica, a non-profit, 501(c)(3) organization dedicated to providing assistance to employees, their families and the people, organizations and communities who support them. Simply put, we want to make lives better…one interaction at a time. And to do that, we need the very best people to join us.

• Monitor bank accounts and analyze daily treasury and cash activities. • Monitor bank balances to ensure sufficient funds are available for scheduled transactions. • Analyze cash data to determine current and projected cash positions. • Execute cash movements and fund transfers to maintain adequate account balances. • Prepare and provide daily cash position reports to leadership and business partners. • Review daily cash transactions to ensure accuracy, completeness, and integrity of balances. • Investigate and resolve cash discrepancies and banking-related issues. • Support banking and credit activities as required. • Maintain accurate treasury records and supporting documentation. • Assess and recommend improvements to treasury processes and controls. • Ensure compliance with internal policies, procedures, and applicable regulatory requirements. • Escalate significant cash, banking, or operational issues in a timely manner.

• Bachelor’s degree in Finance, Accounting, or a related field, or equivalent relevant work experience. • 3+ years of related experience in Treasury Operations, Cash Management, Banking, Credit, or Accounting. • Support daily Treasury Operations, reporting requirements, cash management, banking, and credit activities. • Experience with cash positioning, bank account monitoring, fund transfers, and treasury reporting is preferred. • Proficient analytical skills with strong attention to detail and accuracy. • Excellent computer skills, particularly Microsoft Excel. • Experience with Oracle or other ERP systems is preferred. • Strong organizational, communication, and problem-solving skills. • Ability to manage multiple priorities and meet deadlines in a fast-paced environment.

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