The Met Fifth Avenue, New York, NY
The Treasury Analyst at The Metropolitan Museum of Art assists in managing the museum's cash flow, liquidity, and financial transactions. Responsibilities include managing the daily cash position, processing payments, reconciling accounts, and interacting with financial institutions. The role requires collaboration across departments and ensuring compliance with financial regulations.
Manage cash flow, Reconciliation, Wire transfer, ACH payments, Banking documentation, Account reconciliations, Internal controls, Journal entries, Workday (a plus), Excel, Word, Customer relationship skills
Medical, dental, vision and life insurance, 403(b) retirement plan, paid time off, long-term disability coverage, Flexible Spending Accounts & Health Savings Account, commuter benefits, free financial-planning services, financial assistance for relevant coursework, seminars, and training programs, 25% discount for staff in Museum shops, subsidized staff cafeteria, Access to the Museums Council pass