Workplace
hybrid
Employment
Internship
Published
Aug 11, 2026
Closes
No date supplied
The role
The Basics:
We're looking for a motivated Treasury Operations Analyst to join our Treasury team. This is an entry-level role, ideal for a recent graduate or early-career finance professional, offering hands-on exposure to cash management, bank reconciliations, and liquidity operations. You'll work closely with our Treasury Manager and finance staff, building a strong foundation in corporate treasury while contributing to the day-to-day operations that keep the business running smoothly. This role is hybrid, with in-office days each week and the flexibility to work remotely the rest of the time.
This position follows the Company’s hybrid schedule which currently requires employees to work in the office at one of the following locations a minimum of three days per week: Emeryville, CA
What you’ll do:
• Assist with monitoring daily cash positions and bank balances across accounts and entities, including researching payment-related reconciling items
• Process wire transfers and intercompany transactions <span class="EOP Selected SCXW128507249 BCX8" data-ccp-props
Requirements
Department: Accounting