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High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!

Crusoe

High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!

full-timePosted: Dec 23, 2025

Job Description

Senior Analyst, Treasury Cash Management at Crusoe

Role Overview

As a Senior Analyst, Treasury Cash Management at Crusoe, you will play a pivotal role in shaping the company's treasury function and supporting its strategic objectives. Reporting to the Senior Treasury Manager, you will be responsible for managing cash flows, optimizing liquidity, and ensuring the accuracy and security of financial transactions. This role offers a unique opportunity to contribute to a rapidly growing company and make a tangible impact on its financial performance.

Day in the Life

On a typical day, you might:

  • Support the implementation and optimization of a new Treasury Management System (TMS).
  • Execute wire transfers, ACH payments, and electronic payment processes across multiple currencies.
  • Monitor and analyze cash balances to ensure adequate liquidity.
  • Build and maintain relationships with banking partners and financial institutions.
  • Analyze and implement risk management controls to safeguard company assets.
  • Support forecasting of short-term and long-term cash flow.
  • Collaborate with cross-functional teams to address strategic and operational challenges.
  • Prepare reporting packages and ad-hoc analyses for the executive team.

Why Denver, Colorado?

Denver offers a vibrant and dynamic environment for both personal and professional growth. With a thriving tech industry, access to outdoor recreation, and a high quality of life, Denver provides an ideal setting for individuals seeking a balance between work and leisure. Crusoe's Denver office is located in a central location, offering easy access to amenities and transportation.

Career Path

This Senior Analyst role offers a clear path for career advancement within the Treasury department. With demonstrated success and leadership potential, you can advance to roles such as Treasury Manager, Senior Treasury Manager, or even Director of Treasury. Crusoe is committed to providing opportunities for professional development and growth to its employees.

Salary & Benefits

Crusoe offers a competitive salary and benefits package, commensurate with experience and qualifications. In addition to a base salary, employees are eligible for:

  • Comprehensive health insurance (medical, dental, vision)
  • Generous paid time off policy
  • Company-paid holidays
  • 401(k) plan with company match
  • Stock options
  • Life insurance
  • Disability insurance
  • Employee assistance program (EAP)
  • Professional development opportunities

Crusoe Culture

Crusoe fosters a collaborative, innovative, and results-oriented culture. We value teamwork, open communication, and a commitment to excellence. Our employees are passionate about our mission and dedicated to driving meaningful innovation in the energy and technology sectors. We encourage a healthy work-life balance and provide opportunities for employees to engage in social and community activities.

How to Apply

Interested candidates are encouraged to apply online through the Crusoe Careers website. Please submit a resume and cover letter outlining your qualifications and experience. We carefully review all applications and will contact qualified candidates for an interview.

FAQ

  1. What is Crusoe's mission?

    Crusoe's mission is to accelerate the abundance of energy and intelligence.

  2. What are the key responsibilities of the Senior Analyst, Treasury Cash Management?

    The Senior Analyst will support all aspects of cash management and liquidity, including treasury technology implementation, banking relationships, risk management, and financial analysis.

  3. What qualifications are required for this role?

    A minimum of 3 years’ experience in corporate treasury and a Bachelor’s or Master’s degree in Finance or a related field are required.

  4. What are the benefits of working at Crusoe?

    Crusoe offers a competitive salary and benefits package, including health insurance, paid time off, a 401(k) plan, and stock options.

  5. What is the company culture like at Crusoe?

    Crusoe fosters a collaborative, innovative, and results-oriented culture.

  6. Where is the Denver office located?

    The Denver office is located in a central location, offering easy access to amenities and transportation.

  7. What opportunities are there for career advancement at Crusoe?

    Crusoe is committed to providing opportunities for professional development and growth to its employees.

  8. How can I apply for this position?

    Interested candidates are encouraged to apply online through the Crusoe Careers website.

  9. What is the interview process like at Crusoe?

    The interview process typically involves multiple rounds of interviews with members of the Treasury team and other stakeholders.

  10. Does Crusoe offer flexible work arrangements?

    Crusoe may offer flexible work arrangements depending on the role and business needs.

Locations

  • Denver, Colorado, United States

Salary

Estimated Salary Rangemedium confidence

93,500 - 137,500 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Treasury Managementintermediate
  • Cash Managementintermediate
  • Liquidity Managementintermediate
  • Treasury Technology Implementationintermediate
  • Automationintermediate
  • Banking Relationshipsintermediate
  • Risk Managementintermediate
  • Internal Controlsintermediate
  • Financial Analysisintermediate
  • Forecastingintermediate
  • Cross-Functional Project Managementintermediate
  • M&A Due Diligenceintermediate
  • Wire Transfersintermediate
  • ACH Paymentsintermediate
  • Foreign Exchange Tradingintermediate
  • Investment Decisionsintermediate
  • KYC Complianceintermediate
  • Data Analysisintermediate
  • Reportingintermediate
  • Strategic Planningintermediate

Required Qualifications

  • Minimum of 3 years’ experience in corporate treasury (experience)
  • Bachelor’s or Master’s degree in Finance or a related field (experience)
  • Experience building and managing global banking relationships (experience)
  • Experience negotiating fees and legal agreements (experience)
  • Experience implementing new treasury systems or banking platforms (experience)
  • Strong understanding of treasury operations, including wire transfers, ACH payments, and electronic payment processes (experience)
  • Experience with foreign exchange trading and investment decisions (experience)
  • Knowledge of risk management and internal controls within a treasury environment (experience)
  • Excellent analytical and problem-solving skills (experience)
  • Proficiency in financial modeling and data analysis (experience)
  • Strong communication and interpersonal skills (experience)
  • Ability to work independently and as part of a team (experience)
  • Experience with Treasury Management Systems (TMS) is a plus (experience)
  • Experience with banking platforms is a plus (experience)
  • Experience with M&A due diligence is a plus (experience)

Responsibilities

  • Support the implementation and optimization of a new Treasury Management System (TMS)
  • Manage daily treasury operations, including wire transfers, ACH payments, and electronic payment processes across multiple currencies
  • Provide support for foreign exchange trading and investment decisions
  • Cultivate relationships with banking partners and financial institutions
  • Manage the opening, closing, and documentation of bank accounts
  • Update authorized signatories and KYC requirements for bank accounts
  • Analyze, implement, and help maintain a robust risk management framework
  • Ensure appropriate internal controls are in place to safeguard Company assets
  • Manage liquidity and allocate cash toward short-term investments
  • Support forecasting of short-term and long-term cash flow
  • Develop strategies to minimize trapped cash across the company’s legal entity structure
  • Support complex, cross-functional projects to solve critical strategic and operational challenges
  • Partner with internal stakeholders to source and synthesize data
  • Create reporting packages and ad-hoc analyses for the executive team
  • Conduct due diligence and analyze working capital, banking infrastructure, and cash controls for acquisition targets
  • Serve as a point of contact internally and externally for Treasury operations and liquidity matters

Benefits

  • general: Competitive salary and benefits package
  • general: Comprehensive health insurance (medical, dental, vision)
  • general: Generous paid time off policy
  • general: Company-paid holidays
  • general: 401(k) plan with company match
  • general: Stock options
  • general: Life insurance
  • general: Disability insurance
  • general: Employee assistance program (EAP)
  • general: Professional development opportunities
  • general: Opportunity to work on cutting-edge technology
  • general: Collaborative and supportive work environment
  • general: Opportunity to make a significant impact on the company's success
  • general: Flexible work arrangements
  • general: Wellness programs
  • general: Employee referral program

Target Your Resume for "High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!" , Crusoe

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TreasuryCash ManagementFinanceDenverAnalystTreasury Cash ManagementCash Management AnalystTreasury AnalystLiquidity ManagementFinancial AnalysisCorporate TreasuryDenver JobsFinance Jobs DenverCrusoe EnergyBanking RelationshipsRisk ManagementInternal ControlsTMS ImplementationTreasury Management SystemCash Flow ForecastingInvestment DecisionsForeign ExchangeACH PaymentsWire TransfersKYC ComplianceFinancial ModelingData AnalysisReportingStrategic PlanningM&A Due DiligenceDenver Colorado CareersCrusoe CareersGreen TechAI InfrastructureCloudEngineering

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Crusoe logo

High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!

Crusoe

High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!

full-timePosted: Dec 23, 2025

Job Description

Senior Analyst, Treasury Cash Management at Crusoe

Role Overview

As a Senior Analyst, Treasury Cash Management at Crusoe, you will play a pivotal role in shaping the company's treasury function and supporting its strategic objectives. Reporting to the Senior Treasury Manager, you will be responsible for managing cash flows, optimizing liquidity, and ensuring the accuracy and security of financial transactions. This role offers a unique opportunity to contribute to a rapidly growing company and make a tangible impact on its financial performance.

Day in the Life

On a typical day, you might:

  • Support the implementation and optimization of a new Treasury Management System (TMS).
  • Execute wire transfers, ACH payments, and electronic payment processes across multiple currencies.
  • Monitor and analyze cash balances to ensure adequate liquidity.
  • Build and maintain relationships with banking partners and financial institutions.
  • Analyze and implement risk management controls to safeguard company assets.
  • Support forecasting of short-term and long-term cash flow.
  • Collaborate with cross-functional teams to address strategic and operational challenges.
  • Prepare reporting packages and ad-hoc analyses for the executive team.

Why Denver, Colorado?

Denver offers a vibrant and dynamic environment for both personal and professional growth. With a thriving tech industry, access to outdoor recreation, and a high quality of life, Denver provides an ideal setting for individuals seeking a balance between work and leisure. Crusoe's Denver office is located in a central location, offering easy access to amenities and transportation.

Career Path

This Senior Analyst role offers a clear path for career advancement within the Treasury department. With demonstrated success and leadership potential, you can advance to roles such as Treasury Manager, Senior Treasury Manager, or even Director of Treasury. Crusoe is committed to providing opportunities for professional development and growth to its employees.

Salary & Benefits

Crusoe offers a competitive salary and benefits package, commensurate with experience and qualifications. In addition to a base salary, employees are eligible for:

  • Comprehensive health insurance (medical, dental, vision)
  • Generous paid time off policy
  • Company-paid holidays
  • 401(k) plan with company match
  • Stock options
  • Life insurance
  • Disability insurance
  • Employee assistance program (EAP)
  • Professional development opportunities

Crusoe Culture

Crusoe fosters a collaborative, innovative, and results-oriented culture. We value teamwork, open communication, and a commitment to excellence. Our employees are passionate about our mission and dedicated to driving meaningful innovation in the energy and technology sectors. We encourage a healthy work-life balance and provide opportunities for employees to engage in social and community activities.

How to Apply

Interested candidates are encouraged to apply online through the Crusoe Careers website. Please submit a resume and cover letter outlining your qualifications and experience. We carefully review all applications and will contact qualified candidates for an interview.

FAQ

  1. What is Crusoe's mission?

    Crusoe's mission is to accelerate the abundance of energy and intelligence.

  2. What are the key responsibilities of the Senior Analyst, Treasury Cash Management?

    The Senior Analyst will support all aspects of cash management and liquidity, including treasury technology implementation, banking relationships, risk management, and financial analysis.

  3. What qualifications are required for this role?

    A minimum of 3 years’ experience in corporate treasury and a Bachelor’s or Master’s degree in Finance or a related field are required.

  4. What are the benefits of working at Crusoe?

    Crusoe offers a competitive salary and benefits package, including health insurance, paid time off, a 401(k) plan, and stock options.

  5. What is the company culture like at Crusoe?

    Crusoe fosters a collaborative, innovative, and results-oriented culture.

  6. Where is the Denver office located?

    The Denver office is located in a central location, offering easy access to amenities and transportation.

  7. What opportunities are there for career advancement at Crusoe?

    Crusoe is committed to providing opportunities for professional development and growth to its employees.

  8. How can I apply for this position?

    Interested candidates are encouraged to apply online through the Crusoe Careers website.

  9. What is the interview process like at Crusoe?

    The interview process typically involves multiple rounds of interviews with members of the Treasury team and other stakeholders.

  10. Does Crusoe offer flexible work arrangements?

    Crusoe may offer flexible work arrangements depending on the role and business needs.

Locations

  • Denver, Colorado, United States

Salary

Estimated Salary Rangemedium confidence

93,500 - 137,500 USD / yearly

Source: ai estimated

* This is an estimated range based on market data and may vary based on experience and qualifications.

Skills Required

  • Treasury Managementintermediate
  • Cash Managementintermediate
  • Liquidity Managementintermediate
  • Treasury Technology Implementationintermediate
  • Automationintermediate
  • Banking Relationshipsintermediate
  • Risk Managementintermediate
  • Internal Controlsintermediate
  • Financial Analysisintermediate
  • Forecastingintermediate
  • Cross-Functional Project Managementintermediate
  • M&A Due Diligenceintermediate
  • Wire Transfersintermediate
  • ACH Paymentsintermediate
  • Foreign Exchange Tradingintermediate
  • Investment Decisionsintermediate
  • KYC Complianceintermediate
  • Data Analysisintermediate
  • Reportingintermediate
  • Strategic Planningintermediate

Required Qualifications

  • Minimum of 3 years’ experience in corporate treasury (experience)
  • Bachelor’s or Master’s degree in Finance or a related field (experience)
  • Experience building and managing global banking relationships (experience)
  • Experience negotiating fees and legal agreements (experience)
  • Experience implementing new treasury systems or banking platforms (experience)
  • Strong understanding of treasury operations, including wire transfers, ACH payments, and electronic payment processes (experience)
  • Experience with foreign exchange trading and investment decisions (experience)
  • Knowledge of risk management and internal controls within a treasury environment (experience)
  • Excellent analytical and problem-solving skills (experience)
  • Proficiency in financial modeling and data analysis (experience)
  • Strong communication and interpersonal skills (experience)
  • Ability to work independently and as part of a team (experience)
  • Experience with Treasury Management Systems (TMS) is a plus (experience)
  • Experience with banking platforms is a plus (experience)
  • Experience with M&A due diligence is a plus (experience)

Responsibilities

  • Support the implementation and optimization of a new Treasury Management System (TMS)
  • Manage daily treasury operations, including wire transfers, ACH payments, and electronic payment processes across multiple currencies
  • Provide support for foreign exchange trading and investment decisions
  • Cultivate relationships with banking partners and financial institutions
  • Manage the opening, closing, and documentation of bank accounts
  • Update authorized signatories and KYC requirements for bank accounts
  • Analyze, implement, and help maintain a robust risk management framework
  • Ensure appropriate internal controls are in place to safeguard Company assets
  • Manage liquidity and allocate cash toward short-term investments
  • Support forecasting of short-term and long-term cash flow
  • Develop strategies to minimize trapped cash across the company’s legal entity structure
  • Support complex, cross-functional projects to solve critical strategic and operational challenges
  • Partner with internal stakeholders to source and synthesize data
  • Create reporting packages and ad-hoc analyses for the executive team
  • Conduct due diligence and analyze working capital, banking infrastructure, and cash controls for acquisition targets
  • Serve as a point of contact internally and externally for Treasury operations and liquidity matters

Benefits

  • general: Competitive salary and benefits package
  • general: Comprehensive health insurance (medical, dental, vision)
  • general: Generous paid time off policy
  • general: Company-paid holidays
  • general: 401(k) plan with company match
  • general: Stock options
  • general: Life insurance
  • general: Disability insurance
  • general: Employee assistance program (EAP)
  • general: Professional development opportunities
  • general: Opportunity to work on cutting-edge technology
  • general: Collaborative and supportive work environment
  • general: Opportunity to make a significant impact on the company's success
  • general: Flexible work arrangements
  • general: Wellness programs
  • general: Employee referral program

Target Your Resume for "High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!" , Crusoe

Get personalized recommendations to optimize your resume specifically for High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!. Takes only 15 seconds!

AI-powered keyword optimization
Skills matching & gap analysis
Experience alignment suggestions

Check Your ATS Score for "High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now!" , Crusoe

Find out how well your resume matches this job's requirements. Get comprehensive analysis including ATS compatibility, keyword matching, skill gaps, and personalized recommendations.

ATS compatibility check
Keyword optimization analysis
Skill matching & gap identification
Format & readability score

Tags & Categories

TreasuryCash ManagementFinanceDenverAnalystTreasury Cash ManagementCash Management AnalystTreasury AnalystLiquidity ManagementFinancial AnalysisCorporate TreasuryDenver JobsFinance Jobs DenverCrusoe EnergyBanking RelationshipsRisk ManagementInternal ControlsTMS ImplementationTreasury Management SystemCash Flow ForecastingInvestment DecisionsForeign ExchangeACH PaymentsWire TransfersKYC ComplianceFinancial ModelingData AnalysisReportingStrategic PlanningM&A Due DiligenceDenver Colorado CareersCrusoe CareersGreen TechAI InfrastructureCloudEngineering

Answer 10 quick questions to check your fit for High-CTR: Senior Analyst, Treasury Cash Management Careers at Crusoe - Denver, Colorado | Apply Now! @ Crusoe.

Quiz Challenge
10 Questions
~2 Minutes
Instant Score

Related Books and Jobs

No related jobs found at the moment.