Job Description
Benefits & Growth Exposure to both Treasury and Tax functions with direct manager mentorship Opportunity to join a growing company and help build out a key finance function Pathway for professional development and expansion of responsibilities as the team grows Why This Opportunity Stands Out Strategic seat within a growing organization, with ongoing executive visibility Ability to influence and streamline cash management and tax administration processes Direct learning from leadership and industry professionals with support for career advancement Opportunity to make an accelerated impact as the company expands and financial complexity increases Key Responsibilities Of The Treasury Associate Support daily treasury operations including cash movement, banking, and investment reporting to ensure efficient liquidity management Assist with tax filings and documentation, working closely with an Enrolled Agent for compliance and process improvement Perform frequent financial analysis and ad hoc reporting in Excel for expenses, bank accounts, and wire/ACH transactions Maintain deadline accuracy and organizational rigor in a high-trust environment moving significant financial volume Collaborate with internal partners to streamline processes and contribute to special projects as assigned Preferred Skills 1–2 years’ experience in treasury, finance, accounting, or demonstrated interest and academic background in the field Strong Excel proficiency with ability to manage, analyze, and report on financial data Excellent communication and organizational skills; proven ability to meet deadlines with high accuracy Location Queens, NY — On-site; local candidates only Compensation $25.00-35.00 commensurate with experience #INFEB2026