Question
A jornada completa
2-5

RBS Junior Treasury Analyst

5/3/2026

The Junior Treasury Analyst supports the corporate treasury team with daily cash administration, reporting, and bank statement management. The role also handles corporate credit card program administration and provides administrative support for insurance-related documentation.

Working Hours

40 hours/week

Company Size

10,001+ employees

Language

Spanish

Visa Sponsorship

No

About The Company
SGS is the world’s leading Testing, Inspection and Certification company. We operate a network of over 2,500 laboratories and business facilities across 115 countries, supported by a team of 99,500 dedicated professionals. With over 145 years of service excellence, we combine the precision and accuracy that define Swiss companies to help organizations achieve the highest standards of quality, compliance and sustainability. Our brand promise – when you need to be sure – underscores our commitment to trust, integrity and reliability, enabling businesses to thrive with confidence. We proudly deliver our expert services through the SGS name and trusted specialized brands, including Brightsight, Bluesign, Maine Pointe and Nutrasource. Community Guidelines SGS encourages all fans of this page to participate in conversations through questions and comments. Any comments arising from persons sharing or reproducing any communications published by SGS is not controlled or endorsed by SGS. We want to promote an informative and enjoyable environment within this community. We therefore ask that you post content that is both relevant and respectful and you follow LinkedIn's Professional Community Guidelines. Posts will be removed if they are: - Offensive, defamatory, discriminatory or obscene - Fraudulent, deceptive or misleading - In violation of any intellectual property rights - In violation of any law or regulation - Abusive, harassing, stalking or attacking others - Trolling or deliberate disruption of discussion - Commercial solicitations or personal promotion - Spam or link baiting Intellectual Property Statement Except where expressly stated otherwise, all intellectual property rights, including copyright and trademarks, in any and all communications and materials in any form published by or on behalf of SGS are owned by © SGS Société Générale de Surveillance SA (2025).
About the Role

Descripción de la empresa

SGS es el líder mundial en inspección, verificación, análisis, capacitación y certificación. Es considerada como el principal referente mundial en calidad e integridad, contamos con más de 95.000 colaboradores y una red de más de 2.400 oficinas y laboratorios por el mundo.

Descripción del empleo

The Junior Treasury Analyst supports the SGS NAM Corporate Treasury team with daily cash administration and reporting activities. This role helps organize daily cash reports, escrow account, bank statements, and assists with daily corporate credit card program administration. The position also provides administrative support for insurance documentation including certificates of insurance (COIs), auto ID cards, and other insurance-related requests. The Junior Treasury Analyst reports to the Treasury Supervisor and works closely with Treasury staff and internal business partners to ensure timely, accurate, and well-documented treasury and insurance support processes.

Key Responsibilities

  • Assist with preparation, organization, and distribution of daily cash reports, ensuring accuracy, completeness, and timely delivery.
  • Support daily cash positioning activities by gathering bank balances and transaction details from online treasury platforms and internal sources.
  • Maintain and organize escrow account documentation and activity reports; track deposits, disbursements, and supporting backup as directed.
  • Collect and organize bank statements; assist with statement tracking, storage, and retrieval for audit and operational needs.
  • Assist with daily corporate credit card administration, including new card requests, user maintenance, limit changes, cancellations, and general cardholder support.
  • Help reconcile monthly activity, delinquencies and coordinate follow-up with cardholders and the businesses.
  • Assist with insurance administration duties such as handling certificate of insurance (COI) requests, generating auto ID cards, and managing other insurance-related documents.
  • Request, track, and organize insurance policies from brokers and carriers and update insurance register.
  • Respond to internal inquiries related to cash reporting, credit card administration, and insurance documentation in a professional and timely manner.
  • Assist with special projects, reporting enhancements, and process improvements as assigned by the Treasury Supervisor.
  • Perform other related duties as assigned.

Requisitos

Required Qualifications

  • Associate­­­­­­­­­­­­­­­­­­­­ or Bachelor­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­ degree in Finance, Accounting, Business, or related field required.
  • ­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­­ 2 years of relevant administrative, accounting, finance, treasury, or banking support experience (or equivalent combination of education and experience).
  • Strong attention to detail and ability to organize and maintain accurate documentation.
  • Proficiency with Microsoft Excel and Microsoft Office (Outlook, Word); ability to learn treasury, banking, and insurance systems.
  • Effective communication and customer service skills; ability to collaborate effectively with internal stakeholders.
  • Ability to handle sensitive and confidential information with discretion.
  • English fluency (proficiently spoken and written) required.
  • Ability to prioritize multiple responsibilities and deadlines.
  • Capability to thrive in a fast-paced and highly demanding environment.
  • Ability to work a full-time schedule Monday through Friday, 8:00 AM ­­­ 5:00 PM.

Preferred Qualifications

  • Experience with online banking portals and treasury workstation tools.
  • Experience administering a corporate credit card program and/or expense management system.
  • Basic understanding of cash management concepts, bank reconciliation support, and internal controls.
  • Prior experience supporting insurance documentation processes (COIs, auto IDs, policy endorsements).
  • Intermediate Excel skills (e.g., PivotTables, VLOOKUP/XLOOKUP, basic formulas).

Información adicional

Schedule: Monday to Friday

Work Modality: On-site

Salary: To be agreed

Direct hire with an indefinite-term contract.

  • Compensación: COP 0 - COP 0 - mensualmente
  • Key Skills
    Cash administrationFinancial reportingBank reconciliationCorporate credit card administrationInsurance documentationMicrosoft ExcelMicrosoft OfficeData entryAttention to detailCommunication skillsCustomer serviceTreasury systemsBanking portalsAudit supportProcess improvement
    Categories
    Finance & AccountingAdministrative
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