MuleSoft
Overview of the Role
The Treasury Analyst will play a pivotal role within our global Treasury Operations team, reporting directly to the Treasury Senior Manager. As the primary contact for daily Treasury operations, this role offers exposure to international banking partners, senior internal stakeholders, and cross-functional teams across Legal, Controllership, and M&A. You will manage key processes including global bank account lifecycle management, KYC/AML compliance, signatory governance, portal administration, and M&A integrations. Success in this role requires strong organizational skills, attention to detail, and the ability to interpret legal and financial documentation to ensure compliance and operational excellence. This is an exciting opportunity for someone looking to build a career in corporate treasury while working in a fast-paced, global environment. Responsibilities
Open and close global bank accounts, coordinating documentation packages and banking resolutions. Execute KYC, AML, and tax refresh requirements with banking partners. Manage signatory lifecycle, including updates, removals, and governance oversight. Partner with Legal on banking documentation and entity-level compliance. Administer global bank portals: onboarding/offboarding users, troubleshooting, and maintaining integrations. Maintain Salesforce’s proprietary Bank Account Management (BAM) tool: update data, reconcile reports, and manage dashboards. Support M&A integrations (domestic and international), ensuring seamless bank account transitions. Act as Control Performer for SOX compliance, completing required inquiries and documentation. Lead GL bank reconciliations in partnership with International Controllership. Prepare reporting for FBAR and other regulatory submissions. Produce quarterly and fiscal reporting on bank account openings, closures, and activity. Contribute to ad-hoc Treasury projects and cross-functional initiatives requiring Treasury involvement. Required Qualifications
2+ years of relevant experience in Treasury, Finance, Banking, or related fields. Degree or equivalent relevant experience required. Experience will be evaluated based on the Values & Behaviors for the role (e.g. extracurricular leadership roles, military experience, volunteer roles, work experience, etc.). Strong knowledge of SOX compliance and treasury operations. Proficiency in MS Office (Excel, Word, PowerPoint); experience with Access or other database tools a plus. Familiarity with global banking portals and treasury systems. Excellent analytical and problem-solving skills with high attention to detail. Strong written and verbal communication skills; ability to collaborate effectively across functions and regions. Ability to manage multiple priorities and deliver results in a fast-paced environment. This position is based in either our Atlanta or Indianapolis office as an Office-Flexible position meaning that the expectation is you are in-office 3 days per week.
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The Treasury Analyst will play a pivotal role within our global Treasury Operations team, reporting directly to the Treasury Senior Manager. As the primary contact for daily Treasury operations, this role offers exposure to international banking partners, senior internal stakeholders, and cross-functional teams across Legal, Controllership, and M&A. You will manage key processes including global bank account lifecycle management, KYC/AML compliance, signatory governance, portal administration, and M&A integrations. Success in this role requires strong organizational skills, attention to detail, and the ability to interpret legal and financial documentation to ensure compliance and operational excellence. This is an exciting opportunity for someone looking to build a career in corporate treasury while working in a fast-paced, global environment. Responsibilities
Open and close global bank accounts, coordinating documentation packages and banking resolutions. Execute KYC, AML, and tax refresh requirements with banking partners. Manage signatory lifecycle, including updates, removals, and governance oversight. Partner with Legal on banking documentation and entity-level compliance. Administer global bank portals: onboarding/offboarding users, troubleshooting, and maintaining integrations. Maintain Salesforce’s proprietary Bank Account Management (BAM) tool: update data, reconcile reports, and manage dashboards. Support M&A integrations (domestic and international), ensuring seamless bank account transitions. Act as Control Performer for SOX compliance, completing required inquiries and documentation. Lead GL bank reconciliations in partnership with International Controllership. Prepare reporting for FBAR and other regulatory submissions. Produce quarterly and fiscal reporting on bank account openings, closures, and activity. Contribute to ad-hoc Treasury projects and cross-functional initiatives requiring Treasury involvement. Required Qualifications
2+ years of relevant experience in Treasury, Finance, Banking, or related fields. Degree or equivalent relevant experience required. Experience will be evaluated based on the Values & Behaviors for the role (e.g. extracurricular leadership roles, military experience, volunteer roles, work experience, etc.). Strong knowledge of SOX compliance and treasury operations. Proficiency in MS Office (Excel, Word, PowerPoint); experience with Access or other database tools a plus. Familiarity with global banking portals and treasury systems. Excellent analytical and problem-solving skills with high attention to detail. Strong written and verbal communication skills; ability to collaborate effectively across functions and regions. Ability to manage multiple priorities and deliver results in a fast-paced environment. This position is based in either our Atlanta or Indianapolis office as an Office-Flexible position meaning that the expectation is you are in-office 3 days per week.
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