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Treasury Jobs in Wayne, NJ (NOW HIRING)

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

Role Purpose The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong ...

TREASURY ACCOUNTANT Location: Lagos, Nigeria Report to: Financial Controller Career Level: Min 5 years of work experience. ABOUT PAGA Paga is on a mission to enable one billion Africans and millions ...

Analyst, Treasury

New York, NY · On-site

$80K - $110K/yr

We are seeking a highly organized and analytical Treasury Analyst who thrives in a fast-paced, growth-oriented environment. The ideal candidate combines strong technical treasury skills with a ...

TREASURY ANALYST - BERGEN COUNTY NJ Perform all Treasury Cash Operations processes in a timely and efficient manner ensuring strong internal controls. Responsible for the re-implementation of the ...

Treasury Associate Location: New York, NY Duration: 7 months Group Description The Corporate Treasury team is responsible for client's corporate cash management, capital management, as well as ...

Navan is seeking a highly motivated Treasury Analyst to join our growing Finance team. This role will support domestic and international cash management, banking operations, treasury compliance ...

Navan is seeking a highly motivated Treasury Analyst to join our growing Finance team. This role will support domestic and international cash management, banking operations, treasury compliance ...

The Treasury - Analyst will provide key support for the treasury team. This broad-based role provides exposure to the main treasury functions, as well as collaborations with team members across the ...

Treasury Associate Our client, a $20bn+ Private Equity firm in Midtown, Manhattan is looking for an experienced Treasury Associate to join their team. The ideal candidate will have 1-4+ yrs. of ...

Director, Treasury

New York, NY · On-site

$170K - $200K/yr

Position Summary The Director, Treasury is a strategic finance leader responsible for optimizing the organization's liquidity, capital resources, funding strategies, banking relationships, and ...

The Treasury - Analyst will provide key support for the treasury team. This broad-based role provides exposure to the main treasury functions, as well as collaborations with team members across the ...

ABOUT THE ROLE We are seeking an analytical and detail-oriented Treasury Senior Associate to join our lean, corporate Treasury team. This is a true hybrid role designed for a professional who excels ...

Treasury Manager About the Role The Treasury Manager role is an integral part of the Treasury team, responsible for leading capital deployment, liquidity management, and facility execution. While ...

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Showing results 1-20

Treasury information

See Wayne, NJ salary details

$49.1K

$104.8K

$149.3K

How much do treasury jobs pay per year?

As of Sep 2, 2026, the average yearly pay for treasury in Wayne, NJ is $104,802.00, according to ZipRecruiter salary data. Most workers in this role earn between $86,300.00 and $120,500.00 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 Wayne, NJ?

The most popular types of Treasury jobs in Wayne, NJ are:

What job categories do people searching Treasury jobs in Wayne, NJ look for?

The top searched job categories for Treasury jobs in Wayne, NJ are:

What cities near Wayne, NJ are hiring for Treasury jobs?

Cities near Wayne, NJ with the most Treasury job openings:

Infographic showing various Treasury job openings in Wayne, NJ as of August 2026, with employment types broken down into 94% Full Time, 5% Part Time, and 1% Contract. Highlights an 91% Physical, 4% Hybrid, and 5% Remote job distribution, with an average salary of $104,802 per year, or $50.4 per hour.

Full-time

Medical, Dental, Vision, Life, Retirement, PTO

Re-posted 26 days ago


Hearst rating

6.8

Company rating: 6.8 out of 10

Based on 27 frontline employees who took The Breakroom Quiz

51st of 78 rated media


Job description

Role Purpose

The Treasury Analyst will support day-to-day Treasury operations while developing expertise in Treasury systems, data, and processes. The role is designed for an analyst with strong curiosity and an interest in technology, automation, and continuous improvement within a global Treasury environment.

Key Responsibilities Core Treasury Operations
  • Support daily cash positioning, bank reconciliations, cash allocations, and Treasury payments

  • Assist with short- and medium-term cash flow forecasting and liquidity monitoring

  • Support cash pooling structures and intercompany funding activity

  • Support Letters of Credit issuance

  • Support bank account opening / closing 

  • Assist with foreign currency hedging and cash investment processes under senior guidance

  • Maintain bank account documentation, signatories, approval limits, and SOX-related controls

  • Support monthly and quarterly Treasury reporting and audit requests

  • Carry out ad hoc analysis and tasks to support the Treasury team

Technology, Systems & Data
  • Develop strong working knowledge of Treasury systems, electronic banking platforms, and ERP systems

  • Support Treasury system enhancements, upgrades, testing, and ongoing optimization activities

  • Assist with maintaining and improving Treasury reports, KPIs, and management information

  • Help ensure accuracy, consistency, and timeliness of Treasury data across systems

Automation & Continuous Improvement
  • Demonstrate curiosity about existing Treasury processes and seek opportunities to improve them

  • Identify manual, repetitive, or inefficient tasks and propose practical improvement ideas

  • Support automation and process improvement initiatives, including RPA and data-led solutions

  • Assist with documenting processes, controls, and enhancements to embed best practice

  • Support Treasury involvement in wider Finance or corporate technology initiatives where appropriate

Stakeholder Interaction
  • Work closely with Finance, Accounts Payable, IT, and Treasury colleagues globally

  • Interact with banks and system providers under guidance from senior team members

  • Communicate clearly and effectively with stakeholders across different regions and cultures

Skills & Experience - Essential
  • Approximately 2+ years' experience in a Treasury, Finance, or analytically focused role

  • Basic knowledge of cash management services

  • Interest in Treasury operations, systems, and technology

  • Strong analytical skills with a high level of attention to detail

  • Strong Excel skills

  • Clear verbal and written communication skills

  • Willingness to learn, ask questions, and take ownership of tasks

Skills & Experience - Desirable
  • Exposure to electronic banking platforms and Treasury Management Systems (e.g. GTreasury or similar)

  • Experience with SAP, Oracle, or other ERP systems

  • Awareness of data or reporting tools such as Power BI, SQL, or Python

  • Exposure to process improvement, automation, or system change initiatives

Personal Attributes
  • Naturally curious with an interest in understanding how things work

  • Solution-oriented mindset with a focus on continuous improvement

  • Organized, reliable, and able to manage priorities effectively

  • Comfortable working in a global, collaborative team environment

  • Positive attitude with a willingness to learn and develop

In accordance with applicable law, Hearst is required to include a reasonable estimate of the compensation for this role if hired in New York City.  The reasonable estimate, if hired in New York City, is $65,000 - $75,000.  Please note this information is specific to those hired in New York City.  If this role is open to candidates outside of New York City, the salary range would be aligned to that specific location.  A final decision on the successful candidate's starting salary will be based on a number of permissible, non-discriminatory factors, including but not limited to skills and experience, training, certifications, and education.  Hearst provides a competitive benefits package, including medical, dental, vision, disability and life insurance, 401(k), paid holidays and paid time off, employee assistance programs, and more.

Hearst is a leading global, diversified information, services, and media company dedicated to innovating, informing audiences and leading with purpose, integrity and a culture of care.

Our portfolio includes more than 360 businesses worldwide. On the consumer side, we operate 35 television stations, 28 daily newspapers and publish more than 200 magazine editions featuring many of the most iconic brands in media. We also hold ownership stakes in leading cable networks such as A&E, HISTORY, Lifetime and ESPN. On the business-to-business side, our companies include Fitch Group, a global leader in financial information and analytics; Hearst Health, which provides intelligence and software that improve care outcomes; and Hearst Transportation, which delivers data and software for aviation, automotive and trucking.
Our strength lies in our people. We value the diverse perspectives that move us forward. We are an Equal Opportunity Employer and makes employment decisions without regard to race, color, religion, national origin, sex or gender, sexual orientation, gender identity, gender expression, age, disability, military or veteran status or any other status protected by federal, state, or local law. We also provide reasonable accommodations to applicants and employees consistent with applicable law.
Our Corporate Teams deliver essential programs and services that support the entire Hearst enterprise. Spanning communications, employee benefits, finance, learning and development, legal, technology, and more, these teams lead initiatives that advance Hearst's mission to inform and inspire. Here, you'll find opportunities to grow, collaborate and make a lasting impact.

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