Senior Associate, Financial Operations
Flex(29 days ago)
About this role
Treasury Analyst role on Flex’s Treasury team supporting the company that processes over $1 billion in monthly customer rent payments. The position provides exposure to finance, treasury, and risk principles while helping maintain cash operations, controls, and cash flow processes. This is a hybrid role based in New York with opportunities to work cross-functionally across Product, Engineering, Capital Markets, Servicing, and Risk.
Required Skills
- Cash Operations
- Borrower Collections
- Receivables Management
- Reconciliations
- Treasury Controls
- Fund Flows
- Liquidity Management
- Cash Movement
- Banking Relationships
- Capital Markets
+10 more
Qualifications
- BA/BS in a Quantitative Discipline
- MBA (Preferred)
- CFA (Preferred)
About Flex
flex.comNew Relic is a cloud-based observability platform that helps engineering and operations teams monitor, troubleshoot, and optimize software and infrastructure in real time. It ingests telemetry — metrics, logs, traces, events, and synthetics — via agents and integrations and unifies that data into dashboards, alerts, and a query language (NRQL) for full‑stack visibility across applications, services, containers, and cloud resources. New Relic One bundles APM, infrastructure monitoring, distributed tracing, logging, synthetics, and incident response workflows with integrations for major cloud providers and developer tools. Teams choose New Relic for its rich instrumentation, analytics, and real‑time troubleshooting capabilities at scale.