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Senior Corporate Treasury Analyst

General Information

Ref #:


Travel Amount Required:

Up to 25%

Job Type:

Regular-Full Time


Lowell - Massachusetts - United States, Weston - Florida - United States

Company Overview

Here at UKG, our purpose is people™. Our HR, payroll, and workforce management solutions help organizations unlock happier outcomes for all. And our U Krewers, who build those solutions and support our business, are talented, collaborative, and innovative problem-solvers. We strive to create a culture of belonging and an employee experience that empowers our people – both at work and at home. Our benefits show that we care about the whole you, from adoption and surrogacy assistance to tuition reimbursement and wellness programs. Our employee resource groups provide a welcoming place to land, learn, and connect with those who share your passions and interests. What are you waiting for? Learn more at  #WeAreUKG 

Description & Qualifications


Job Summary:

The Senior Corporate Treasury Analyst is responsible for ensuring the accurate execution of cash activities across multiple company operations globally. This role is primarily focused on global cash management, cash movement, cash positioning, short-term forecasting,treasury operations, performing investments, Intercompany settlement, revolver, letter of credit and debt administration, bank relationshipmanagement and administration, KYC, technical issues and bank connectivity, developing process improvement strategies, establishingpolicies and procedures and implementing systems to maintain internal controls and effective cash management. A critical component of thisrole is to collaborate with key internal partners including, but not limited to A/R, A/P, Accounting, Finance, Tax, Legal, Payment Services,Corporate Development and IT. This position reports to the Associate Manager, Corporate Treasury & Cash Management

Primary/Essential Duties and Key Responsibilities:
• Responsible for supporting treasury operations across multiple entities globally to ensure that payments are being processed timely and successfully, bank technical issues are being resolved, appropriate funding is secured to support cash needs, bank access administration, bank relationship management and bank fees
• Maintain and report the rolling 13-week consolidated cash forecast in Kyriba
• Manage global daily liquidity by performing cash positioning, short-term forecasting and initiating investments. Stay abreast of expectedfuture outflows and inflows of cash
• Responsible for the global intercompany settlement process across many entities
• Review daily wires and transmit all payment files to the bank
• Assist with revolver borrowings, repayments and debt administration
• Maintain, issue and renew letters of credit and surety bonds
• Negotiate optimal FX rates for trades booked with the banks
• Lead the setup of bank connectivity of various systems and ensure proper bank file types are transmitted
• Responsible for various dashboards and metrics
• Serve as Bank Administrator to approve user access and bank service changes in various online bank portals and as the key point of contact to escalate and resolve bank issues
• Assist with the management of bank documents, supporting bank due diligence requests, and all bank regulatory compliance requirements
• Support the implementation of various Financial Systems and represent Corporate Treasury to perform required setup, testing, review and direction
• Make recommendations on best practices, optimization of banking services and structures, management of liquidity needs, and improvement of overall processes, controls and visibility
• Responsible for opening, updating, and closing bank accounts and adding appropriate bank services
• Provide support for new acquisitions to include due diligence requests
• Facilitate audit requests for Corporate Treasury


Basic Qualifications:
• Bachelor’s degree in Accounting, Finance or Economics
• Minimum of 6 years of experience in Corporate Treasury and Cash Management
• Experience performing various treasury operations, cash management functions to include wires, ACHs, cash positioning, forecasting, investments, revolvers, knowledge of various bank file formats, ad-hoc analysis, bank balance reporting, bank fee analysis, and credit rating analysis
• Experience with online banking platforms
• Proficiency in Microsoft Excel
• Possess analytical, critical-thinking and problem-solving skills
• Solid ability to prioritize and work effectively on multiple tasks
• Excellent verbal and written communication skills

Preferred Qualifications:
• Treasury Management System (TMS) experience is a plus
• ERP system experience is a plus

EEO Statement

Equal Opportunity Employer

Ultimate Kronos Group is proud to be an equal opportunity employer and is committed to maintaining a diverse and inclusive work environment. All qualified applicants will receive considerations for employment without regard to race, color, religion, sex, age, disability, marital status, familial status, sexual orientation, pregnancy, genetic information, gender identity, gender expression, national origin, ancestry, citizenship status, veteran status, and any other legally protected status under federal, state, or local anti-discrimination laws. 

View The EEO Know Your Rights poster and its supplement. 

View the Pay Transparency Nondiscrimination Provision

UKG participates in E-Verify. View the E-Verify posters here.

Disability Accommodation

For individuals with disabilities that need additional assistance at any point in the application and interview process, please email