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Treasury Jobs in Boston, MA (NOW HIRING)

The Treasury Specialist will work closely with Treasury, Tax, Payroll, Accounting, IT, and external banking partners to support timely, well-controlled treasury processes. This role is well suited ...

The Treasury Specialist will work closely with Treasury, Tax, Payroll, Accounting, IT, and external banking partners to support timely, well-controlled treasury processes. This role is well suited ...

This role reports to the Global Treasury Director. Responsibilities and Duties * Cash and Banking Operations & Reporting * Perform daily cash reconciliations and manage liquidity across multiple ...

This role reports to the Global Treasury Director. Responsibilities and Duties * Cash and Banking Operations & Reporting * Perform daily cash reconciliations and manage liquidity across multiple ...

Director, Treasury

Boston, MA · On-site

  • Medical

  • Retirement

  • PTO

As a key member of the Treasury Infrastructure team, the Director implements a forward-looking operating model. This model incorporates automation, sophisticated analytics, and modern technology ...

Treasury Manager

Boston, MA · On-site

$110 - $165/hr

This role reports to the Global Treasury Director. Responsibilities and Duties * Cash and Banking Operations & Reporting * Perform daily cash reconciliations and manage liquidity across multiple ...

Director, Treasury

Boston, MA · Hybrid

  • Medical

  • Retirement

  • PTO

As a key member of the Treasury Infrastructure team, the Director implements a forward-looking operating model. This model incorporates automation, sophisticated analytics, and modern technology ...

Treasury Manager

Boston, MA · On-site

$117K - $147K/yr

  • Medical

  • Retirement

  • PTO

The Team The Treasury Manager oversees a broad range of treasury activities, including American Tower's cash management operations, liquidity, , investments, foreign exchange, cash forecasting, and ...

Treasury Manager

Boston, MA · On-site

$120 - $180/hr

The Team The Treasury Manager oversees a broad range of treasury activities, including American Tower's cash management operations, liquidity, investments, foreign exchange, cash forecasting, and ...

Treasury Analyst

Hudson, MA · On-site

$70K - $95K/yr

The Treasury Analyst provides key operational support to vital Treasury and Profitability functions. Reporting to the Assistant Treasurer, the right candidate will oversee operation of the Bank ...

The Treasury Analyst provides key operational support to vital Treasury and Profitability functions. Reporting to the Assistant Treasurer, the right candidate will oversee operation of the Bank ...

Treasury Analyst

Canton, MA · Hybrid

$60K - $70K/yr

  • Medical

  • Dental

  • Vision

  • Life

  • Retirement

  • PTO

We give you a world of potential Treasury Middle Office Analyst Serve as a key control and oversight function within Treasury, ensuring the accuracy, validation, reconciliation, and foreign exchange ...

Treasury Analyst

Boston, MA · On-site

$80K - $110K/yr

The Treasury Analyst will play a key role in day-to-day payment and liquidity management for the venture lender and assist the Treasury Senior Manager with debt reporting, as well as ad-hoc Treasury ...

The Treasury Analyst will play a key role in day-to-day payment and liquidity management for the venture lender and assist the Treasury Senior Manager with debt reporting, as well as ad-hoc Treasury ...

The Treasury Analyst will play a key role in day-to-day payment and liquidity management for the venture lender and assist the Treasury Senior Manager with debt reporting, as well as ad-hoc Treasury ...

Sr. Associate, Treasury

Boston, MA · On-site

$100K - $110K/yr

  • Medical

  • Retirement

  • PTO

About the Role HarbourVest is seeking a Senior Associate of Treasury Infrastructure to support the ongoing development and scaling of our global treasury capabilities. This role focuses on ...

Treasury Manager

Boston, MA · On-site

  • Medical

  • Retirement

  • PTO

The Team The Treasury Manager oversees a broad range of treasury activities, including American Tower's cash management operations, liquidity, , investments, foreign exchange, cash forecasting, and ...

Accounting Manager - Treasury

Boston, MA · Hybrid

$108K - $162K/yr

  • Medical

  • Dental

  • Vision

  • Retirement

  • PTO

Treasury Accounting * Own treasury accounting activities and month-end close deliverables for hedge accounting, foreign exchange, investments, and debt, ensuring accurate journal entries and U.S.

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Treasury information

See Boston, MA salary details

$53.6K

$114.4K

$163K

How much do treasury jobs pay per year?

As of Aug 19, 2026, the average yearly pay for treasury in Boston, MA is $114,447.00, according to ZipRecruiter salary data. Most workers in this role earn between $94,200.00 and $131,600.00 per year, depending on experience, location, and employer.

What are the key skills and qualifications needed to thrive in a treasury role?

To thrive in a Treasury role, you need strong analytical skills, financial acumen, and a solid understanding of cash management and corporate finance, typically supported by a degree in finance, accounting, or a related field. Proficiency in financial modeling, treasury management systems (TMS), and relevant certifications such as CTP (Certified Treasury Professional) are highly valued. Attention to detail, strong communication, and problem-solving abilities are crucial soft skills for managing risks and collaborating cross-functionally. These competencies are vital for ensuring effective liquidity management, financial stability, and strategic decision-making within an organization.

How does a treasury professional typically collaborate with other departments within an organization?

Treasury professionals regularly work with departments such as accounting, finance, and operations to ensure efficient cash flow management and risk mitigation. They coordinate closely with accounting teams to reconcile bank accounts and forecast cash positions, and support finance in managing short-term investments or debt. Additionally, treasury staff often partner with business units to understand funding needs and implement effective payment solutions. This cross-functional collaboration helps maintain the organization’s financial stability and supports broader business objectives.

What is the difference between Treasury vs Financial Analyst?

AspectTreasuryFinancial Analyst
Required CredentialsTypically a degree in finance, accounting, or economics; certifications like CFA or CPA are commonSimilar credentials; CFA or CPA can be advantageous
Work EnvironmentCorporate finance departments, banks, or financial institutions; focus on cash management and riskCorporate or investment firms; focus on data analysis, reporting, and forecasting
Employer & Industry UsageUsed across industries for managing company funds and financial risksCommon in finance, consulting, and corporate sectors for analyzing financial data
Comparison Search IntentUnderstanding treasury roles versus financial analysis roles

While both Treasury and Financial Analyst roles require strong financial knowledge and similar credentials, Treasury focuses on cash management, risk mitigation, and funding strategies within organizations. Financial Analysts primarily analyze financial data, prepare reports, and support investment decisions. The roles often overlap but serve different strategic functions within a company.

What are the most commonly searched types of Treasury jobs in Boston, MA?

The most popular types of Treasury jobs in Boston, MA are:

What cities near Boston, MA are hiring for Treasury jobs?

Cities near Boston, MA with the most Treasury job openings:

Infographic showing various Treasury job openings in Boston, MA as of August 2026, with employment types broken down into 96% Full Time, 2% Part Time, and 2% Contract. Highlights an 82% In-person, 15% Hybrid, and 3% Remote job distribution, with an average salary of $114,447 per year, or $55 per hour.

Treasury Specialist

Cambridgeassociates

Boston, MA • On-site

Full-time

This job post has expired today. Applications are no longer accepted.


Job description

Firm Overview:

Cambridge Associates ("CA") is a leading global investment firm. CA's goal is to help endowments & foundations, pension plans, and ultra-high net worth private clients implement and manage custom investment portfolios that generate outperformance so that they can maximize their impact on the world. Cambridge Associates delivers a range of services, including outsourced CIO, non-discretionary portfolio management, and investment consulting.


Headquartered in Boston, Massachusetts, CA has offices in key markets in North America, the United Kingdom, Europe, Asia, and Oceania. Our worldwide teams ensure our clients benefit from decades of global presence, local expertise, and relationships with the top global investment managers across the world. For more information, please visit www.cambridgeassociates.com.


Job Description Summary:

Cambridge Associates is seeking a proactive, detail-oriented Treasury Specialist to support treasury operations across domestic and international entities. This is a high-visibility role responsible for supporting core cash management activities, payment execution, daily cash and balance reconciliations, recurring treasury reporting, cash forecasting support, banking operations, and audit support. The role requires strong attention to detail, sound judgment, and the ability to operate accurately in a fast-paced environment.
This role offers a unique opportunity to gain exposure to international regions, operating structures, and treasury processes across the firm's global footprint. The Treasury Specialist will work closely with Treasury, Tax, Payroll, Accounting, IT, and external banking partners to support timely, well-controlled treasury processes. This role is well suited for someone who can work effectively within established guidance and procedures, while also operating independently when needed. The successful candidate will be detail-oriented, dependable, and accountable, with the ability to follow instructions carefully, exercise sound judgment, and build trust through consistent execution and follow-through.

Job Description:

Cash Management and Treasury Operations

  • Support daily cash management activities across domestic and international entities.
  • Monitor cash balances and help maintain appropriate global cash reserves.
  • Prepare and distribute recurring cash reporting, including daily cash activity and related treasury metrics.
  • Support daily, weekly, and annual cash forecasting processes.

Payments and Banking Administration

  • Initiate and support electronic payments through the firm's banking platforms.
  • Apply knowledge of U.S. and international payment types, formats, and related processing requirements.
  • Coordinate with internal partners, including IT, to maintain payment interfaces and support payment file uploads.
  • Assist with bank account administration, including account openings, signatory updates, and related documentation.
  • Research and resolve banking transactions and payment-related inquiries as needed.

Reconciliations, Audit, and Transaction Support

  • Reconcile daily cash balances and activity across bank accounts and legal entities.
  • Research and resolve discrepancies, outstanding items, and other cash-related breaks in a timely manner.
  • Support the preparation of journal entries for certain treasury-related transactions and cash movements, as needed.
  • Coordinate with Accounting to help ensure treasury activity is reflected accurately.
  • Support internal and external audit requests by gathering documentation, responding to inquiries, and assisting with treasury-related support materials.

Controls and Process Improvement

  • Assist in documenting and maintaining treasury procedures and internal controls.
  • Support efforts to improve treasury workflows, reporting, and operational efficiency.
  • Help identify process gaps and contribute to practical enhancements in treasury operations.

Relationship Management and Cross-Functional Support

  • Build and maintain effective working relationships with banking partners and internal stakeholders.
  • Support ad hoc treasury analysis and special projects as needed.
  • Assist with preparation of treasury-related information for internal reporting and other stakeholder needs.

Qualifications

  • Bachelor's degree in Finance, Accounting, Business Administration, or a related field.
  • 1-3 years of relevant treasury, cash management, finance, or related experience.
  • Knowledge of U.S. and international payment types and treasury operations.
  • Advanced Excel skills and solid Microsoft Word proficiency.
  • Strong attention to detail, organization, and ability to manage multiple priorities in a high-visibility environment.
  • Strong communication, judgment, accountability, and ability to work both independently and within established guidance.
  • Ability to handle sensitive information with discretion and confidentiality.

Preferred Characteristics

  • Experience with banking platforms, payment processing, reconciliations, reporting, forecasting, and audit support.
  • Process-oriented, dependable, and comfortable working in a high-visibility, collaborative environment.

Base salary range for this role:

Pay Range Minimum:

70200

Pay Range Maximum:

91300

In addition to the listed salary range, this position is eligible for an annual performance-based bonus and a comprehensive, competitive benefits package. Actual placement within the stated salary range will be determined based on factors such as skills, experience, and qualifications, as well as internal equity.

The firm is committed to the concept and practice of equal employment opportunity and will not discriminate against any employee or applicant on the basis of race, color, religion, age, sex, national origin, sexual orientation, gender identity, disability, or veteran status. It is expected that all employees will follow a similar policy toward their co-workers.