Treasury Analyst
AuditFriendly Careers • Denver, CO • Full Time
Posted on Mon, Sep 7, 2026
Primary responsibility is to analyze and maintain the daily cash position and the daily credit line position of the Company including research and analysis, and other projects as assigned.
Primary Responsibility
- Analyze and maintain the daily cash needs of the Company including funding loan closings, borrowing against credit lines and working with pledged collateral loans.
- Ensure compliance with debt covenants for lines of credit.
- Develop knowledge of the overall Treasury operations relating to cash, credit lines and Treasury systems.
- Be proficient at bank account and general ledger reconciliations.
- Develop a strong working relationship with outside banking partners.
- Develop a strong working relationship with internal departments as it relates to cash management.
- Maintain internal Treasury systems and improve functionality.
- Prepare daily Treasury cash and credit related reports for both internal and external use.
- Backup the other Treasury Analyst positions.
- Work on projects assigned by the VP-Treasury.
- Minimum of 3 to 5 years related functional experience in Banking, Accounting or Equivalent.
- Mortgage industry experience required.
- Kyriba Treasury Management System experience helpful.
- Knowledge of general Treasury Operations.
- Advanced proficiency with MS Office applications, especially Excel functions.
- Ability to communicate effectively with personnel both inside and outside the Company.
- Excels with repetitive job responsibilities.
- Self-Starter that works well with team and Individually
- Dependable and reliable.
AuditFriendly salary estimate
The employer did not post a salary for this role. Based on AuditFriendly's salary intelligence model (comparable live postings, role, seniority, and location), we estimate base pay of $72,000–$80,000 per year (median ~$75,000). This is an AuditFriendly estimate, not an employer-provided figure.
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