Treasury Analyst 1

EnergySolutions LLC

  • Salt Lake City, UT
  • 30+ days ago

    Highlights

    Supports treasury activities, including assisting with daily cash and liquidity management, coordinating and executing the transfer of funds and supporting near and medium-term cash forecasting. Provides banking administration for all business segments of the company, evaluates lease versus buy opportunities, tracks the company net debt and cash position across a range of operating units.

    Numbers & Facts

    LocationSalt Lake City, UT

    Description

    Treasury Analyst 1

    Salt Lake City, UT 84111

    Posted: 07/01/2026 Job Number: 2046

    Job Description

    Supports treasury activities, including assisting with daily cash and liquidity management, coordinating and executing the transfer of funds and supporting near and medium-term cash forecasting. Provides banking administration for all business segments of the company, evaluates lease versus buy opportunities, tracks the company net debt and cash position across a range of operating units. Supports and forecasts letter of credit position and renewals. Assisting with special projects and ad hoc analysis as assigned by treasury and finance management.

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    Job Duties/Tasks/Responsibilities

    • Monitors bank accounts, consolidates and reports company cash, liquidity and net debt position on a daily basis.
    • Aggregates cash transaction detail to support the production of the weekly cash forecast and liquidity management.
    • Analyzes and tracks bank fees and trust management fees.
    • Administers weekly credit agreement draws and repayments.
    • Facilitates draws from nuclear decommissioning trust accounts.
    • Tracks equipment loan, operating and capital leases and evaluates new lease vs. buy opportunities.
    • Supports the issuance and renewal of letters of credit and maintains the companyâs LC forecast.
    • Performs ad hoc analysis and prepares other analytics as assigned.
    • Performs other duties as assigned.
    • Ability to physically work in office 4 days a week
    • Strong written and verbal communication skills
    • Strong analytical, finance and accounting skills
    • Advanced proficiency using Microsoft Office products
    • Advanced proficiency in Excel modeling
    • Strong attention to detail

    Physical/Mental Requirements and Working Conditions

    • Ability to sit

    • Ability to effectively communicate; speaking, reading, understanding, writing and hearing clear English; pass audiogram in hearing conservation program as required by location

    • Ability to work inside an office

    • Ability to perform highly repetitive motions with fingers, hands, wrists, and shoulders

    • Ability to work alone, work with others, and interact with the public

    • Ability to perform under deadline pressure

    • Ability to understand and follow basic instructions and guidelines

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    Job Requirements

    previous treasury/cash management and forecasting experience.

    Meet Your Recruiter

    Craig McNair

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