What are the responsibilities and job description for the Senior Treasury Analyst position at Medallia?
Overview
Medallia is the pioneer and market leader in Experience Management. Our award-winning SaaS platform, Medallia Experience Cloud, leads the market in the management of experiences, insights, and actions for candidates, customers, employees, patients, and residents alike.
We believe that every experience is a memory that can last a lifetime. Experiences shape the way people feel about a company. And they greatly influence how likely people are to advocate, contribute, and stay. At Medallia, we are committed to creating a world where organizations are loved by their customers and their employees.
We empower exceptional people to create extraordinary experiences together.
Bring your whole self.
As our Senior Treasury Analyst, you will play a pivotal role in managing Medallia’s global liquidity, capital structure, and financial risk. In this fast-paced, high-growth enterprise SaaS environment, you will be the day-to-day engine of our treasury operations ensuring we optimize our cash runway, mitigate foreign exchange exposure, and maintain seamless banking relationships worldwide. This is a highly collaborative role that bridges the gap between core accounting, corporate development, and FP&A. If you thrive on building scalable treasury processes from scratch, leveraging automation to eliminate manual banking tasks, and providing strategic insights to senior leadership, you’ll fit right in.
Responsibilities
Qualifications
Minimum Qualifications
Medallia also offers competitive health and wellness benefits, including but not limited to medical, dental, vision, 401(k), short-term and long-term disability, life and AD&D insurance, statutory leaves, paid parental leave, and paid holidays. Benefits and eligibility may vary by location and role.
At Medallia, we celebrate diversity and recognize the value it brings to our customers and employees. Medallia is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age (40 and over), disability, genetic information, veteran status or military service, or any other status protected by state or local law. Individuals with a disability who need an accommodation to apply please contact us at ApplicantAccessibility@medallia.com. For information regarding how Medallia collects and uses personal information, please review our Privacy Policies. Applications will be accepted for 30 days from the date this role was posted or until the role has been filled.
Medallia is the pioneer and market leader in Experience Management. Our award-winning SaaS platform, Medallia Experience Cloud, leads the market in the management of experiences, insights, and actions for candidates, customers, employees, patients, and residents alike.
We believe that every experience is a memory that can last a lifetime. Experiences shape the way people feel about a company. And they greatly influence how likely people are to advocate, contribute, and stay. At Medallia, we are committed to creating a world where organizations are loved by their customers and their employees.
We empower exceptional people to create extraordinary experiences together.
Bring your whole self.
As our Senior Treasury Analyst, you will play a pivotal role in managing Medallia’s global liquidity, capital structure, and financial risk. In this fast-paced, high-growth enterprise SaaS environment, you will be the day-to-day engine of our treasury operations ensuring we optimize our cash runway, mitigate foreign exchange exposure, and maintain seamless banking relationships worldwide. This is a highly collaborative role that bridges the gap between core accounting, corporate development, and FP&A. If you thrive on building scalable treasury processes from scratch, leveraging automation to eliminate manual banking tasks, and providing strategic insights to senior leadership, you’ll fit right in.
Responsibilities
- Global Cash Management: Oversee daily cash positioning, cash flow forecasting, and liquidity management for all domestic and international subsidiaries.
- Foreign Exchange & Risk Management: Monitor FX exposures, execute foreign currency trades, and support the development of hedging strategies to protect SaaS margins.
- Banking Administration: Serve as the primary administrator for global banking platforms, managing KYC requirements, bank fee analysis, and the opening/closing of global accounts.
- Intercompany & Investments: Support intercompany funding strategies, loans, and settlement processes. Assist in executing the corporate investment policy to maximize yield while preserving capital.
- Compliance & Controls: Ensure strict adherence to SOX controls, internal treasury policies, and audit requirements. Support month-end close activities related to treasury (e.g., debt compliance, interest income/expense accruals).
- System Optimization: Drive automation within our Treasury Management System (TMS) and ERP (NetSuite) to streamline cash reporting and payment processing.
Qualifications
Minimum Qualifications
- Education: Bachelor’s degree in Finance, Accounting, Economics, or a related quantitative field.
- Experience: Minimum of 4 years of corporate treasury
- Technical Skills: Proficient with enterprise ERP systems (e.g., NetSuite, Workday) and advanced Excel functionality (e.g., VLOOKUPs, pivot tables, financial modeling).
- Operational Scope: Proven experience managing multi-currency cash positioning and global banking platforms.
- SaaS Industry Experience: Familiarity with subscription-based business models, recurring revenue metrics, and high-growth technology environments.
- Certifications: Certified Treasury Professional (CTP) or Chartered Financial Analyst (CFA) designation is a strong plus.
- Systems Expertise: Direct experience implementing or optimizing a Treasury Management System (TMS) (e.g., Kyriba, Coupa/TreasuryXpress).
- Soft Skills: Strong analytical rigor paired with excellent communication skills—ability to translate complex banking and FX data into actionable insights for the VP Controller and CFO.
- AI Experience: Experience leveraging AI tools (Gemini, Claude) to automate process and improve analysis of large volumes of data
Medallia also offers competitive health and wellness benefits, including but not limited to medical, dental, vision, 401(k), short-term and long-term disability, life and AD&D insurance, statutory leaves, paid parental leave, and paid holidays. Benefits and eligibility may vary by location and role.
At Medallia, we celebrate diversity and recognize the value it brings to our customers and employees. Medallia is an Equal Opportunity Employer. All qualified applicants will receive consideration for employment without regard to race, color, religion, sex, sexual orientation, gender identity, national origin, age (40 and over), disability, genetic information, veteran status or military service, or any other status protected by state or local law. Individuals with a disability who need an accommodation to apply please contact us at ApplicantAccessibility@medallia.com. For information regarding how Medallia collects and uses personal information, please review our Privacy Policies. Applications will be accepted for 30 days from the date this role was posted or until the role has been filled.
Salary : $82,500 - $128,000