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Treasurer in Jersey City, NJ at Verisk Analytics

Date Posted: 7/20/2018

Job Snapshot

Job Description


Verisk Analytics has an amazing story to tell. In 2016, Forbes magazine named Verisk Analytics to its World’s Most Innovative Companies list and to its America’s Best Large Employers list. If you’re looking for a career that transforms, inspires, challenges, and rewards you, then come join us.

At Verisk, you can build a rewarding career with challenging and meaningful work; create a positive, lasting impact on the business; and find the support, coaching, and training you need to advance your career. Our culture of innovation means your ideas on how to improve our business will be heard. As key contributors to our success, our team members enjoy working in a business-casual, collaborative environment that offers state-of-the-art resources, advanced technologies, and an excellent benefits package.

Verisk Analytics is a leading data analytics provider serving customers in insurance, natural resources, and financial services. We’ve been delivering data, analytics, and decision support services to our customers for more than 45 years. At Verisk, you’ll be part of an organization that’s committed to serving the long-term interests of our stakeholders, including the communities where we operate.


Verisk Analytics is seeking a highly accomplished and motivated Treasurer to play a key role in leading the treasury team and implementing cash management and treasury strategy including cash management and liquidity, debt management and compliance, foreign currency, and risk management strategy, regulatory compliance, and other financial analysis and modeling. 

This position is based in our Jersey City, NJ office, conveniently located across the street from the Newport path station.  Just one stop from Christopher Street, we’re an easy 10-minute commute from lower Manhattan (and about 20 minutes from Brooklyn).

The day to day expectations of this role are:

• Develop and operationalize global cash management processes and systems to ensure error-free global treasury operation

• Direct cash management operations to include daily cash administration, management of current accounts and bank relations.

• Review and drive improvements in cash management, ensuring financial obligations are met in accordance with company policies and procedures.

• Monitor cash transactions to ensure that bank account balances to the report and any unusual items are investigated.

• Forecast, monitor and track cash flow (weekly, monthly, quarterly etc.).

• Maintain strong relationships across all Regional Treasury functions, corporate functions and geography leadership teams.

• Analyze forecasts and work with Tax, Corporate Reporting, FP&A to develop cash flow forecasts to determine domestic and international cash requirements and maximize liquidity

• Assist CFO in capital management and corporate finance strategy

• Provide special analyses and project research as necessary

The successful candidate will have:

• 5+ years of progressively responsible financial experience in public companies, ideally in a corporate treasury and/or research analyst capacity, preferably working with multinational companies with expansive global operations

• A bachelor’s degree is required (preferably in finance/accounting); MBA desirable

• Strong capital markets and corporate finance experience

• Experience in managing cash for a global enterprise

• Familiarity with capital management concepts and practical execution

• Experience analyzing and executing M&A related financing 

• Outstanding verbal and written communication skills

• Working knowledge of the current regulatory environment

• Solid understanding of public company accounting issues, financial analysis

• Excellent project management and presentation skills

• Outstanding interpersonal and relationship building skills with the ability to convey company strategy and messaging

• Excellent financial, investment, Excel modeling and PowerPoint skills are assumed

• Possess a high level of integrity and sensitivity to confidential information

• An energetic and resourceful team player who can roll up their sleeves

• Strong analytical, modeling and critical thinking skills

• Experience in development and execution of financial communication strategies

• Ability to work in a collaborative environment and work proactively with other functions to understand the company’s story and vision.

We offer an excellent compensation package. Our benefits package is competitive and includes full healthcare options, a 401(k) plan, and generous paid time off program.

 Verisk Analytics is an Equal Opportunity Employer