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Treasury Analyst

TC Industries Of Canada Company

Plano (TX)

On-site

USD 60,000 - 80,000

Full time

30+ days ago

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Job summary

A growing hospitality company is seeking a Treasury Analyst to enhance operations by managing cash flows and banking activities across multiple properties. The ideal candidate holds a Bachelor’s degree and has 2-4 years of treasury or banking experience. Responsibilities include daily cash control, coordinating banking transactions, and maintaining compliance with audits. Proficiency in Microsoft Office and mid-level Excel is essential. This role offers growth opportunities as the portfolio expands.

Qualifications

  • 2–4 years of experience in treasury, banking, or corporate finance.
  • Hospitality experience is a plus, preferably in a multi-property environment.

Responsibilities

  • Safeguard cash and support banking operations across multi-hotel portfolio.
  • Reconcile daily bank activity to maintain accurate balances.
  • Coordinate wires, ACH, and internal bank transfers for multiple entities.
  • Assist with cash-handling audits and remediation steps.

Skills

Microsoft Office
Excel (mid-level)
Communication skills
Problem-solving
Organizational skills

Education

Bachelor’s degree in Finance, Accounting, or related field

Tools

Banking portals
Merchant platforms
Job description

Description

Avion Hospitality is growing, and we’re adding a Treasury Analyst to our Corporate Support team. Reporting to the Treasury Manager, this role safeguards cash, supports banking operations across a multi-hotel portfolio, and partners with Accounting, Operations, and property leadership to keep funds flowing accurately and on time. You’ll reconcile activity daily, coordinate wires/ACH, help manage merchant services and pcards, and contribute to cash forecasting and treasury compliance. As our portfolio expands, so will the scope and growth opportunities for this role.

What You’ll Do
  • Daily Cash Control
    • Reconcile daily bank activity to maintain accurate balances in the tracking system.
    • Review prior-day and intraday balances across all accounts; proactively flag issues and exceptions.
  • Banking Operations
    • Set up and release daily wires, ACH, and internal bank transfers for multiple entities.
    • Open, maintain, and close hotel and corporate bank accounts; coordinate documentation with senior leadership, hotel teams, and banking partners.
    • Coordinate intercompany transfers, funding requirements, and debt service payments on schedule.
  • Merchant Services & Payments
    • Maintain multiple credit card merchant accounts per asset; coordinate with processors, banks, and PMS/POS vendors to install or update merchant IDs.
    • Ensure timely closure of bank and merchant accounts at management contract termination.
  • Controls, Compliance & Audit
    • Assist with cash-handling audits and remediation steps as needed.
    • Support covenant reporting, audit requests, and treasury-related documentation to sustain a strong control environment.
  • Forecasting & Analysis
    • Build and update cash forecasts; analyze trends, variances, and liquidity needs.
    • Assist in managing the P-Card program (user setup, limits, policy adherence, reporting).
    • Handle ad-hoc treasury projects for hotels and corporate leadership with speed and accuracy.
Requirements
Required Qualifications
  • Bachelor’s degree in Finance, Accounting, or related field.
  • 2–4 years in treasury, banking, or corporate finance.
  • Hospitality experience is a plus (multi-property environment preferred).
Knowledge & Skills
  • Proficient with Microsoft Office; Excel (mid-level) required (lookups, pivots, basic modeling).
  • Working knowledge of wires, ACH, and BAI codes used by the banking industry.
  • Quick learner with technology (banking portals, merchant platforms; treasury/workflow tools a plus).
  • Strong organization: able to prioritize, meet deadlines, and manage multiple projects simultaneously.
  • Detail-oriented with a problem-solving mindset and a creative approach to resolution.
  • Clear communicator, both written and verbal; able to partner effectively with property leaders and external banks.
How You Work
  • You operate with Trust, Transparency, and Results—our core values.
  • You protect the company’s liquidity with a controls-first mindset and crisp documentation.
  • You bring service orientation to properties and partners, responding quickly and closing loops.
  • You’re proactive—spotting breaks before they become issues and offering practical fixes.
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