Sr. Analyst, Cash Management & Forecasting

Capital One Capital One · Banking · McLean, VA

This role focuses on daily cash activity management, forecasting, and supporting Treasury system enhancements and payment initiatives within Capital One's Corporate Treasury. It involves analyzing and modeling financial data, interacting with business partners, and potentially using data analysis and code development tools to improve team capabilities.

What you'd actually do

  1. Establish and run daily cash positions to optimally position end of day account balances
  2. Communicate information to support daily funding and investment decisions
  3. Interact with internal business partners to communicate changes in projected cash balances and discrepancies in forecasted settlements
  4. Understand the intricacies of the Federal Reserve Payment system, funds settlement and cash management
  5. Partner with internal stakeholders to run ad hoc analyses and/or explain changes in cash and/or forecasts settlements reconciliation, compliance, and corporate accounting teams to execute and reconcile cash transactions

Skills

Required

  • Financial Analysis
  • Treasury
  • Cash Management
  • Forecasting
  • SQL
  • Python
  • R

Nice to have

  • Quantum software
  • Google Suite
  • Certified Treasury Professional designation

What the JD emphasized

  • At least 1 year of experience in Financial Analysis, Treasury, or a combination
  • 2+ years of experience in banking cash management, cash forecasting, or a combination
  • 1+ year of experience in Python, R, or a combination
  • 1+ year experience with SQL querying