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Certified Collectibles Group

Senior Treasury Analyst

Certified Collectibles Group, Sarasota, Florida, United States, 34232

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Is your CV ready If so, and you are confident this is the role for you, make sure to apply asap. Senior Treasury Analyst

Who we are:

Certified Collectibles Group is the world's leading provider of expert, impartial and tech-enabled services that add value and liquidity to collectibles. Its iconic companies include Numismatic Guaranty Company (NGC), Paper Money Guaranty (PMG), Certified Guaranty Company (CGC) and Authenticated Stamp Guaranty (ASG). Since 1987, the Certified Collectibles Group companies have certified over 100 million coins, banknotes, comic books, TCGs, sports cards, video games, home video collectibles, stamps and more. Today, CCG serves the world of collectibles online and at its offices in the United States, United Kingdom, Germany and China.

We are seeking a Senior Treasury Analyst to support our cash management and financial operations. The ideal candidate will have strong Excel skills and experience with cash reconciliation, banking transactions, and financial reporting. This role will focus on ensuring the accuracy and efficiency of daily treasury activities, with additional opportunities to support process improvements and operational initiatives. Experience with international banking or payment processing is a plus.

What you will do in this role:

Perform daily cash reconciliation across multiple international bank accounts

Utilize CashPro or other treasury management applications to support daily banking activities

Provide management with daily reports on banking results, including ACH, wires, checks, bank deposits, and transfers (no strategic analysis required)

Conduct weekly verification and release of disbursements

Initiate and monitor weekly bank account transfers

Issue, track, and reconcile employee credit cards

Process and review employee expense reports in Concur/Ramp

Support various treasury-related tasks as needed

What will help you succeed:

5+ years of treasury, banking, or finance-related experience

Strong proficiency in Excel and financial reporting

Familiarity with international banking and treasury operations

Experience setting up merchant identification (MID) and payment processing preferred

Experience with CashPro or similar cash management tools preferred

Experience with Concur, Ramp, or similar expense management systems a plus

Detail-oriented with strong organizational and communication skills

This role offers an opportunity to contribute to a fast-paced treasury function while developing expertise in cash management and financial operations. If you have a keen eye for detail and enjoy working with financial data, we'd love to hear from you!

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