Job Title: Treasury Analyst I
Company Overview:
Pulivarthi Group is a premier global provider of staffing and IT technology solutions, renowned for delivering exceptional services tailored to each client's unique needs. With a steadfast commitment to excellence, we merge expertise with innovation, ensuring cost-effective solutions of the highest quality. Our diverse client base spans healthcare, finance, government, and beyond, reflecting our adaptability and proficiency across industries. Operating in the United States, Canada, and Mexico, we pride ourselves on aligning with clients' cultures, deploying top-tier talent, and utilizing cutting-edge technologies. Pulivarthi Group stands as a beacon of reliability, efficiency, and innovation in the realm of staffing solutions.
Job Overview/Summary:
The Treasury Analyst I is an entry-level position focused on cash management and supporting Treasury Operations. This role involves producing and analyzing cash flow, providing bank account support, and evaluating various financial metrics and scenarios.
Responsibilities:
- Ensure quality information and reports are delivered to senior management on a timely basis.
- Implement additional reports to present data in a concise and useful fashion, under the guidance of the manager and senior team members.
- Support the analysis of NYPA’s overall business, including net income forecasts and cash flow forecasts.
Primary Skills:
- Advanced Excel skills (Pivot Tables, VLookups, Formulas, etc.).
- Ability to analyze large sets of data effectively.
- Strong communication and interpersonal skills.
- Teamwork-oriented, with the ability to collaborate across departments.
Qualifications:
- Bachelor’s degree in a related field.
- Proven ability to produce detailed reports and perform data-driven analysis.
Benefits/Perks:
Pulivarthi Group offers competitive compensation, growth opportunities, and a comprehensive benefits package, including health insurance, paid time off, 401(k) plan with matching, and more.