The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash ...
Cash Management Analyst Location: Dallas/Frisco, TX Salary: $60-65k ESSENTIAL DUTIES AND RESPONSIBILITIES include the any of the following. Other duties may be assigned. * Review bad actor ATMs to ...
Cash Management Analyst Location: Dallas/Frisco, TX Salary: $60-65k ESSENTIAL DUTIES AND RESPONSIBILITIES include the any of the following. Other duties may be assigned. * Review bad actor ATMs to ...
This will include the clear and effective articulation of the cash management solutions value proposition. • Partner with Financial Advisors to profile their client base, identify and analyze ...
This will include the clear and effective articulation of the cash management solutions value proposition. • Partner with Financial Advisors to profile their client base, identify and analyze ...
Partner with Financial Advisors to profile their client base, identify and analyze business opportunities and succeed in growing adoption of cash management solutions, including deposit gathering ...
Partner with Financial Advisors to profile their client base, identify and analyze business opportunities and succeed in growing adoption of cash management solutions, including deposit gathering ...
Cash Management Specialist
Lubbock, TX · On-site
... PFS Management of cash. • Conduct necessary research of accounts to identify where payments ... This position also deals directly with technical support analysts employed by contracted hardware ...
Cash Management Specialist
Lubbock, TX · On-site
... PFS Management of cash. • Conduct necessary research of accounts to identify where payments ... This position also deals directly with technical support analysts employed by contracted hardware ...
Cash Management Manager
Austin, TX · On-site
The company's comprehensive suite of originations, servicing, and analytics solutions together with ... This position is responsible for all cash management functions for servicing automotive leases and ...
Cash Management Manager
Austin, TX · On-site
The company's comprehensive suite of originations, servicing, and analytics solutions together with ... This position is responsible for all cash management functions for servicing automotive leases and ...
Accounting Analyst
Dallas, TX · On-site
$25 - $35/hr
Cash Management Analyst The Cash Management Analyst supports the accounts payable cash side of the general ledger by managing high-volume fuel-related transactions, performing detailed ...
Accounting Analyst
Dallas, TX · On-site
$25 - $35/hr
Cash Management Analyst The Cash Management Analyst supports the accounts payable cash side of the general ledger by managing high-volume fuel-related transactions, performing detailed ...
Cash Vault Analyst
Houston, TX · On-site
$18.20/hr
We process, manage, and move over $8B in cash every day while delivering 24/7 client support and ... Analyst position. Balance and reconcile accounts daily. Investigate and follow up on open or ...
Cash Vault Analyst
Houston, TX · On-site
$18.20/hr
We process, manage, and move over $8B in cash every day while delivering 24/7 client support and ... Analyst position. Balance and reconcile accounts daily. Investigate and follow up on open or ...
Produce, validate, and analyze daily cash flow reporting and cash forecasting outputs; investigate breaks and resolve discrepancies * Work closely with custodians, fund accounting, and internal ...
Produce, validate, and analyze daily cash flow reporting and cash forecasting outputs; investigate breaks and resolve discrepancies * Work closely with custodians, fund accounting, and internal ...
Produce, validate, and analyze daily cash flow reporting and cash forecasting outputs; investigate breaks and resolve discrepancies * Work closely with custodians, fund accounting, and internal ...
Produce, validate, and analyze daily cash flow reporting and cash forecasting outputs; investigate breaks and resolve discrepancies * Work closely with custodians, fund accounting, and internal ...
... cash flow, and market analysis using a combination of Argus software and Excel. * Assist in ... Interact with Project Managers to oversee the full scope of operations. * Assist in the preparation ...
... cash flow, and market analysis using a combination of Argus software and Excel. * Assist in ... Interact with Project Managers to oversee the full scope of operations. * Assist in the preparation ...
$22.74 - $34.68/hr
Lead Cash Management Minimum Education Level: High School Diploma/GED Minimum Field of Study ... Must have strong analytical and critical thinking skills. Must be proficient with Microsoft Office ...
$22.74 - $34.68/hr
Lead Cash Management Minimum Education Level: High School Diploma/GED Minimum Field of Study ... Must have strong analytical and critical thinking skills. Must be proficient with Microsoft Office ...
Treasury Analyst
Houston, TX · On-site
$65K - $70K/yr
Monitor daily cash activity and support cash management processes * Perform daily, weekly, and ... Analyze cash trends, forecast variances, and working capital drivers * Assist with banking ...
Quick apply
Treasury Analyst
Houston, TX · On-site
$65K - $70K/yr
Monitor daily cash activity and support cash management processes * Perform daily, weekly, and ... Analyze cash trends, forecast variances, and working capital drivers * Assist with banking ...
Treasury Analyst
Houston, TX · On-site
$65K - $70K/yr
Monitor daily cash activity and support cash management processes * Perform daily, weekly, and ... Analyze cash trends, forecast variances, and working capital drivers * Assist with banking ...
Treasury Analyst
Houston, TX · On-site
$65K - $70K/yr
Monitor daily cash activity and support cash management processes * Perform daily, weekly, and ... Analyze cash trends, forecast variances, and working capital drivers * Assist with banking ...
Asset Management Analyst
Houston, TX · On-site
$85K - $100K/yr
Analyze monthly project‑level P&L statements, variance drivers, and cash flow forecasts, delivering clear summaries and insights for portfolio managers. * Support the annual budgeting process by ...
New
Asset Management Analyst
Houston, TX · On-site
$85K - $100K/yr
Analyze monthly project‑level P&L statements, variance drivers, and cash flow forecasts, delivering clear summaries and insights for portfolio managers. * Support the annual budgeting process by ...
New
$26/hr
Experience and training in financial analysis, accounting, auditing, bank reconciliation, cash ... Progressive experience with reconciling general ledger journal entries and cash receipts ...
$26/hr
Experience and training in financial analysis, accounting, auditing, bank reconciliation, cash ... Progressive experience with reconciling general ledger journal entries and cash receipts ...
Maintain cash flow models on assets and update regularly for new operational activities * Work with third-party property managers to prepare lease-up and stabilized leasing/operational strategies ...
Maintain cash flow models on assets and update regularly for new operational activities * Work with third-party property managers to prepare lease-up and stabilized leasing/operational strategies ...
Senior Accounts Receivable & Cash Management
Dallas, TX · On-site
$90 - $130/hr
Collections Analysis & Risk Management -- Monitor aging trends, assess collection risks, resolve ... Cash Forecasting * Collections Management * Enterprise Resource Planning (ERP) and Financial ...
Senior Accounts Receivable & Cash Management
Dallas, TX · On-site
$90 - $130/hr
Collections Analysis & Risk Management -- Monitor aging trends, assess collection risks, resolve ... Cash Forecasting * Collections Management * Enterprise Resource Planning (ERP) and Financial ...
Cash Management Analyst information
See Texas salary details
$13.66 - $15.55
17% of jobs
$16.97 is the 25th percentile. Wages below this are outliers.
$15.55 - $17.45
11% of jobs
$17.45 - $19.34
20% of jobs
The median wage is $19.58 / hr.
$19.34 - $21.24
17% of jobs
$21.24 - $23.13
3% of jobs
$23.13 - $25.02
2% of jobs
$26.44 is the 75th percentile. Wages above this are outliers.
$25.02 - $26.92
6% of jobs
$26.92 - $28.81
4% of jobs
$28.81 - $30.70
4% of jobs
$30.70 - $32.60
6% of jobs
$32.60 - $34.49
9% of jobs
$13
$22
$34
How much do cash management analyst jobs pay per hour?
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What is the difference between Cash Management Analyst vs Treasury Analyst?
| Aspect | Cash Management Analyst | Treasury Analyst |
|---|---|---|
| Credentials | Bachelor's in Finance, Accounting, or related field; certifications like CFA or CPA are a plus | Bachelor's in Finance, Economics, or related; similar certifications often preferred |
| Work Environment | Corporate finance departments, focusing on cash flow, banking relationships, and liquidity | Finance or treasury departments, handling cash, investments, and risk management |
| Employer & Industry Usage | Used across industries for managing daily cash operations | Common in large corporations, banks, and financial institutions |
| Comparison Search Intent | Understanding daily cash flow management and banking relations | Focus on broader treasury functions including investments and risk |
While both roles involve financial analysis and cash handling, a Cash Management Analyst primarily manages daily cash flow and banking relationships, whereas a Treasury Analyst handles broader treasury functions like investments and risk management. The roles often overlap but differ in scope and focus within corporate finance teams.
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Full-time
Medical, Vision, Life
Posted 13 days ago
HOYA rating
7.6
Based on 10 frontline employees who took The Breakroom Quiz
Job description
The successful candidate will combine strong analytical and problem-solving capabilities with advanced Excel skills, a solid understanding of financial statement relationships, and a passion for continuous learning. This role requires a proactive individual with a natural curiosity to understand the business, analyze the operational and commercial drivers impacting cash flow, and identify opportunities to improve processes, reporting, and forecast accuracy.
The Treasury & Cash Management Analyst will work closely with Finance, Accounting, FP&A, Accounts Receivable, Accounts Payable, Payroll, and business stakeholders to improve visibility into cash movements, support working capital management, and ensure accurate reporting of intercompany transactions. In addition, this role will support the preparation and analysis of cash flow reporting, including a strong understanding of the construction of the Statement of Cash Flows for statutory reporting purposes. The ideal candidate will serve as a trusted business partner while actively seeking opportunities to enhance treasury operations, strengthen controls, and drive continuous improvement.
ESSENTIAL DUTIES AND RESPONSIBILITIES
Bank Management
Manage relationships with Hoya's banking partners.
Administer banking responsibilities, including ownership and maintenance of banking-related SOPs and user access controls.
Maintain account access and viewing rights and ensure timely updates as personnel changes occur.
Ensure master data integrity related to banking terms, roles, account structures, and security tokens.
Maintain documentation and mapping of banking structures and account purposes across the organization.
Monitor data integrations and banking file transmissions to ensure security, completeness, and functionality.
Support bank account management activities, including account openings, closures, and signatory updates.
Internal Reporting & Treasury Management
Monitor and report daily cash positions and liquidity metrics to internal stakeholders.
Manage cash commitments and funding requirements to ensure adequate liquidity across the organization.
Develop treasury reporting and dashboards to improve visibility into cash balances, trends, and forecasts.
Evaluate treasury processes, tools, and banking services to improve efficiency, security, and control.
Support compliance with treasury policies, internal controls, and audit requirements.
Cash Forecasting & Liquidity Planning
Lead the development, maintenance, and enhancement of weekly, monthly, quarterly, and annual cash forecasts.
Partner with FP&A, Accounts Receivable, Accounts Payable, Payroll, Operations, and Accounting teams to improve forecast accuracy and visibility into future cash flows.
Analyze forecast-to-actual variances, identify root causes, and recommend corrective actions and process improvements.
Develop and refine forecasting methodologies, models, and assumptions to improve reliability and responsiveness to changing business conditions.
Assess business drivers impacting cash generation, working capital, and liquidity.
Provide scenario modeling and sensitivity analyses to support strategic planning and decision-making.
Prepare management reporting and actionable insights related to cash flow performance and forecast accuracy.
Utilize advanced Excel modeling and analytical tools to streamline forecasting and reporting processes.
Cash Flow Reporting
Support the preparation, analysis, and reporting of cash flow information for monthly, quarterly, and annual reporting requirements.
Develop and maintain a thorough understanding of the relationships between the income statement, balance sheet, and Statement of Cash Flows.
Partner with Accounting during month-end and year-end close processes to explain cash flow movements and support statutory reporting requirements.
Assist with the preparation and review of cash flow statements and supporting schedules.
Analyze working capital trends and their impact on operating cash flow.
Intercompany Collaboration
Work closely with Finance and Accounting teams to ensure intercompany receivables and payables are accurately tracked, reconciled, and reported.
Support monthly and quarterly close processes by providing timely and accurate intercompany cash flow information.
Assist in resolving intercompany discrepancies and improving visibility into intercompany balances and settlement processes.
Support initiatives to improve intercompany reporting accuracy and efficiency.
Cash Disbursements & Receipts Management
Manage banking relationships supporting Corporate Credit Card programs, including Travel Cards, Purchasing Cards, and Virtual AP Cards.
Oversee credit card rebate and receipt programs and related provider agreements.
Manage all disbursements and receipt processes to ensure efficiency, accuracy, and security.
Assist in evaluating and implementing payment technologies and treasury solutions that improve cash management effectiveness.
Transactional Treasury Activities
Understand and maintain appropriate treasury and accounting processes and controls.
Monitor, reconcile, and report banking fees, merchant fees, and other financial service costs.
Manage treasury-related ERP master data and reporting requirements.
Coordinate transfers between accounts to optimize liquidity and short-term investment opportunities.
Support the management of unclaimed property processes related to Accounts Payable and Accounts Receivable activities.
Assist with audits and treasury-related compliance requests.
Finance & Accounting Support
Provide ongoing support to Finance and Accounting teams on operational and strategic initiatives.
Assist with ad hoc analyses, reporting, reconciliations, and special projects.
Participate in cross-functional initiatives impacting cash flow, financial reporting, working capital, and operational efficiency.
Identify opportunities for process automation, reporting enhancements, and continuous improvement.
Support implementation and optimization of financial systems and reporting tools.
COMPETENCIES
Analytical Thinking & Business Curiosity
Demonstrates a natural curiosity to understand the business, its operational drivers, customer dynamics, and financial performance.
Investigates variances and trends with a problem-solving mindset and seeks to understand underlying causes.
Uses financial and operational data to develop insights and recommendations.
Actively seeks opportunities to learn, develop, and contribute beyond immediate responsibilities.
Strong understanding of financial statements and the relationship between profitability, working capital, and cash flow.
Ability to analyze data, identify trends, and present meaningful conclusions to stakeholders.
Demonstrates strong attention to detail while maintaining focus on broader business objectives.
Strong communication skills, communicate financial information in a concise and understandable manner.
Builds effective relationships across departments and levels within the organization.
Treats people with respect and professionalism.
Maintains compliance with policies, procedures, and internal controls.
QUALIFICATIONS
Basic Qualifications
Bachelor's degree in Finance, Accounting, Business Administration, Economics, or related field, or equivalent combination of education and experience.
Minimum of 3-5 years of experience in treasury, accounting, financial analysis, cash management, or related disciplines.
Advanced Microsoft Excel skills, including Pivot Tables, XLOOKUPs, Power Query, complex formulas, financial modeling, and data analysis.
Strong analytical, problem-solving, and organizational skills with exceptional attention to detail.
Demonstrated understanding of financial statement relationships, including the interaction between the income statement, balance sheet, and cash flow statement.
Ability to independently manage multiple priorities and meet deadlines in a dynamic environment.
Strong communication and interpersonal skills.
Demonstrated intellectual curiosity and desire to understand business operations and financial drivers.
Proven ability to learn quickly, adapt to changing priorities, and continuously improve processes and capabilities.
Ability to handle sensitive and confidential information with discretion.
Preferred Qualifications
Experience with SAP or similar ERP systems.
Experience with treasury management systems and cash forecasting tools.
Experience supporting or preparing cash flow statements for monthly, quarterly, or annual reporting processes.
Understanding of working capital management, liquidity planning, and treasury operations.
Experience developing financial models and forecasting tools using advanced Excel techniques.
Knowledge of internal controls, financial reporting requirements, and intercompany accounting processes.
Experience in a multinational or global business environment.