Treasury Senior Analyst

1 week ago


Baguio City Cordillera Admin Region, Philippines eFlexervices Full time ₱900,000 - ₱1,200,000 per year

Interested applicants may submit their CVs directly to our career page:

This position is a 
temporary role
. It is targeted to commence in 
February 2026
; however, our recruitment process is starting now to allow for a thorough selection and onboarding period. Interested candidates are encouraged to apply early.

Who we are:

eFlexervices is a BPO company with a legacy spanning 24 years. We've honed our craft in providing exceptional quality and building unshakable trust. At eFlex, we're not just a BPO company – we're your partners in success. Our approach is all about finding the perfect match between talent and the organizations we support. We're not just investing in our work; we're investing in people, optimizing performance, and maximizing efficiency. We are all about exceptional quality and unwavering trust.

What we are looking for:

Are you ready to take your expertise to the next level? At eFlexervices, we're not just hiring a
Treasury Senior Analyst

– we're empowering your talent to deliver quality and performance. Join us in shaping the success and making an impact that truly matters.

We are seeking a detail-oriented and proactive
Treasury Senior Analyst

to join our dynamic finance team. In this role, you will focus on managing and analyzing our financial activities related to cash flow, investments, and risk management, along with driving process improvements and delivering insightful reporting and forecasting to support strategic decision-making. You will collaborate with various departments to ensure accurate cash forecasting, which will contribute to our organization's overall financial health and success.

What you'll be doing:

  1. Treasury:

  2. Monitor and manage the company's daily cash position, ensuring sufficient liquidity for operations.

  3. Prepare cash flow forecasts to predict future financial positions and identify potential funding needs.
  4. Assist in managing the company's investment portfolio, ensuring our strategy is in compliance with both financial regulations and internal policies.
  5. Analyze financial risks and develop strategies to mitigate them.
  6. Maintain relationships with banks and financial institutions, negotiating terms and managing banking services.
  7. Collaborate with department leaders to gain their comfort and support in our policies and procedures to help them best utilize both cash and debt.
  8. Prepare and present financial reports related to cash flow, investments, and risk management to senior management.
  9. Monitor and report on Key Performance Indicators to guide business strategy.

2. Data Analysis and Reporting:

  • Prepare detailed reports on performance, trends, and analysis.
  • Prepare quarterly financials for bank reporting.
  • Assist in the 5-year forecast used to analyze our credit position.
  • Conduct variance analysis to explain differences between actual and budget.
  • Assist with implementation/validation of
    Workday Adaptive Planning

system, initially focused on the cash and Treasury functions.
- Assist in implementation, maintenance, and adherence to internal controls and Finance procedures ensuring compliance with GAAP.
- Follow accounting regulations, internal controls, and finance policies to ensure compliance.

  1. Process Improvement:

  2. Recommend opportunities to streamline processes and enhance efficiency.

  3. Implement best practices around cash and debt management across the organization.
  4. Work with management to ensure cash is readily available for any acquisitions or large payments.
  5. Work with management & IT teams to automate manual tasks.

Qualifications and Requirements:

  • Bachelor's degree in finance, accounting, business administration, or a related field.
  • Minimum 5 years of combined Finance & Treasury working experience.
  • Experience partnering with internal and external stakeholders.
  • Experience working in a high-growth environment.
  • Excellent communication and interpersonal skills are required.
  • Advanced knowledge of MS Excel and working knowledge of other MS Office programs.
  • Self-starter with outstanding analytical, problem-solving, and organizational skills.
  • Must be able to work independently and collaborate with team members in a fast-paced environment.
  • Must be able to meet tight deadlines, with attention to detail.
  • Must maintain a positive attitude and sense of humor

Benefits and Perks:

At eFlex, we're not just a workplace – we're a community of playmakers, committed to fostering growth, learning, and personal connections. Here's what's in store for you:

  • Living Our Values:

We don't just talk the talk; we walk the walk. From learning and personal growth to caring deeply about our team and clients, our values are the compass guiding our vibrant workplace.
- Competitive Compensation:

Your hard work deserves recognition. Enjoy a competitive salary and benefits package, including comprehensive HMO coverage and optical reimbursements.
- Flexible Work Options:

Work your way If you're outside Baguio City, embrace a permanent work-from-home setup. For those within Baguio, our hybrid work model offers the best of both worlds.
- Wellness Matters:

Recharge and refresh Our flexible vacation and sick leaves empower you to prioritize your well-being, ensuring a healthy work-life balance.
- Pathways to Success:

Your journey with us is brimming with growth opportunities. We're dedicated to nurturing your career and supporting your rise through the ranks.

Ready to embark on an enriching journey? Join the eFlex family and experience a workplace that values your individuality and success. Let's thrive together



  • Baguio, Philippines eFlexervices Full time

    Who we are: eFlexservices is a BPO company with a legacy spanning 24 years. We've honed our craft in providing exceptional quality and building unshakable trust. At eFlex, we're not just a BPO company – we're your partners in success. Our approach is all about finding the perfect match between talent and the organizations we support. We're not just...

  • Treasury Data Analyst

    3 weeks ago


    Cebu City, Philippines HawodTech Solutions Full time

    We are looking to strengthen the team with a Treasury Data Analyst to help meet the demands of the company's continuing growth, you will be a member of the Treasury team within the Finance department. The role holder will be responsible for analysis and development of the Funding Model and forecast. The role will develop a deep understanding of the...


  • Quezon City, Philippines Manulife Full time

    Treasury Operations is responsible for safeguarding the cash assets of the Company through a robust control environment and excellence in operational execution on a global basis. North America (NA) Treasury Operations is recruiting a Senior Business Analyst to support the execution of NA Treasury Operations initiatives that will help drive NA Treasury...

  • Treasury Associate

    2 weeks ago


    Quezon City, Philippines BENBY ENTERPRISES, INC. Full time

    Join to apply for the Treasury Associate role at BENBY ENTERPRISES, INC. Get AI-powered advice on this job and more exclusive features. Treasury Associate will be responsible for checks preparation & cash handling. Prepare and report all banking activities from the previous day. Assist treasury staff with physical cash counting and reconciliation. Verify and...

  • Analyst, Treasury

    2 weeks ago


    Makati City, National Capital Region, Philippines SC Johnson Full time ₱1,500,000 - ₱3,000,000 per year

    SC JOHNSON IS A FIFTH-GENERATION FAMILY COMPANY BUILT ON THE SPIRIT OF OUR PEOPLE. We have been leading with purpose for over 130 years, building iconic brands that win the hearts and minds of consumers – such as Raid, Glade, Ziploc and more, in virtually every country around the world. Together, we are creating a better future – for the planet, for...

  • Business Analyst

    2 weeks ago


    Baguio, Philippines Elemnta Full time

    Join or sign in to find your next job Join to apply for the Business Analyst role at Elemnta Join to apply for the Business Analyst role at Elemnta Get AI-powered advice on this job and more exclusive features. Work from home and join a fast-growing Australian fintech company! We’re seeking an experienced Business Analyst who has a background in I.T....

  • Treasury Supervisor

    2 weeks ago


    Quezon City, National Capital Region, Philippines Golden Legacy Financing Corporation Full time ₱900,000 - ₱1,200,000 per year

    SUPPORTING INFORMATIONA. Liquidity ManagementManages the Company's overall liquidity positions for working capital needs.· Assists the Senior Treasury Manager in preparing cash flow projections, related borrowing needs, and available funds for investment.· Prepare daily cash position, periodic cash flow and other related reports.· Prepare notes payable...

  • Treasury Manager

    2 weeks ago


    Quezon City, Philippines Robinsons Retail Holdings Inc. Full time

    TREASURY MANAGER Responsibilities: Handles liquidity of the firm Review cash control design and effectiveness to ensure major risks are mitigated Review treasury related processes and recommend process/policy changes/improvements in coordination with RRHI Treasury Oversee cash management operations (daily cash position, reconciliation of sales vs. deposits)...

  • Treasury Manager

    2 weeks ago


    Bacolod City, Western Visayas, Philippines Negros Electric and Power Corp. Full time ₱60,000 - ₱120,000 per year

    Responsible for monitoring the company's cash flow, ensuring there's enough cash to satisfy any bills and working with other financial stakeholders to ensure tax compliance.Responsibilities:Managing treasury operations and controls (collections reports, disbursements, bank reconciliations, protection and custody of funds, and financial instruments).Cash and...

  • Treasury Head

    10 hours ago


    Pasig City, Philippines WHR Global Consulting Full time

    Position Title: Treasury Head Position Reports To: Finance Head Key Responsibilities of the Treasury Head: 1. Loan Origination & Capital Structuring  Support the structuring, negotiation, and execution of corporate and project-level financing, including term loans, revolving credit lines, and syndicated debt.  Support in developing funding strategies...