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Analyst, Treasury

Dave & Buster's

Coppell, TXFull-time$72–96K/yrPosted 2w agoVerified open 5 days ago

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At a glance

Compensation
$72–96K/yr
Location
Coppell, TX
Schedule
Full-time
Work Authorization
Not specified

Requirements

Credentials this posting asks for.

Bachelor's degree

Job overview

Dave & Buster's is hiring an Analyst, Treasury. The Treasury Analyst must be analytical, achievement‑oriented and eager to advance the company’s treasury operations, demonstrating strategic thinking, strong communication, presentation, cross‑functional collaboration, relationship development, continuous improvement, problem solving, and project execution.

Key focus areas include Responsible for monitoring daily cash position across multiple banks and preparing cash flow forecast to ensure adequate liquidity, Performs all daily funding/payment requirements of the company in direct coordination with the Assistant Treasurer and in line with internal controls and segregation of duties, and Continuously improves companywide cash flow forecast model by analyzing cash trends and preparing periodic cash reports.

Important skills include Microsoft Outlook, Microsoft Word, Excel, PowerPoint, Analytical, and Communication.

Skills & qualifications

RequiredNice to have

Skills

Microsoft OutlookMicrosoft WordExcelPowerPointAnalyticalCommunicationPresentationCross-FunctionalRelationship DevelopmentContinuous ImprovementProblem SolvingProject ExecutionCash Flow ForecastingACH Processing

Qualifications

Undergraduate Degree in Business, Finance, Economics, Accounting or Related Field2-5 Years Experience in Corporate Treasury, Banking, Asset Management, Corporate Accounting or Comparable EducationCFA/MBA

Benefits

Medical Insurance
Dental Insurance
Vision Insurance
Paid Time Off
401(k) Match

Full job description

Job Description:

The Treasury Analyst must be analytical, achievement-oriented and eager to take the company’s treasury operations to the next level with a strong desire to become a remarkable corporate finance professional. Must be a strategic thinker with strong communication, presentation and cross-functional skills, who is adept at relationship development, continuous improvement, problem solving, and project execution.

Responsibilities

  • Responsible for monitoring daily cash position across multiple banks and preparing cash flow forecast to ensure adequate liquidity
  • Performs all daily funding/payment requirements of the company in direct coordination with the Assistant Treasurer and in line with internal controls and segregation of duties
  • Continuously improves companywide cash flow forecast model, by analyzing cash trends, and preparing periodic cash reports
  • Identifies liquidity risks and presents in a digestible cash model format for actionable insights to Assistant Treasurer and CFO
  • Investigates and actions daily ACH and check exceptions aligned with established controls and protocols
  • Executes on debt decision making of the company for borrowings and repayments
  • Acts as bank admin and relationship contact for all banking partners (e.g. online access, visibility levels, authorized signers, opening/closing accounts, KYC etc.)
  • Supports all D&B and ME stores nationwide for any urgent funding needs or depository vendor touch points (e.g. armored cars, bank vaults etc.)
  • Constantly evaluates improvement opportunities to working capital and provides recommendations to Assistant Treasurer and CFO (e.g. taking advantage of vendor terms in collaboration with AP function of accounting)
  • Strategically assess best return on excess cash versus debt paydown / stock buyback opportunities to minimize cash interest
  • Supports any adhoc company and Treasury projects (e.g. new store opening, payment modernization, bank account rationalization etc.)

Requirements

  • Undergraduate degree in Business, Finance, Economics, Accounting, or related field
  • Strong interest in finance and capital markets with demonstrated ability to communicate with company stakeholders
  • Minimum 2-5 years of experience working in corporate treasury, banking, asset management, corporate accounting, or comparable education
  • Excellent interpersonal & verbal / written communication skills
  • Strong desire to learn and grow into larger roles within corporate finance and willingness to get involved in additional cross functional projects
  • Proactive, self-motivated and exceptional attention to detail
  • Strong commitment to operational excellence and flawless ethical standards
  • Strong proficiency with Microsoft computer tools (particularly Outlook, Word, Excel, and PowerPoint)
  • Able to work independently and complete projects with limited supervision
  • Desire to pursue or completion of continuing education (e.g. CFA/MBA) a plus
  • Great team player; able to work in cross-cultural/cross-functional teams

WHAT’S IN IT FOR ME?: Dave & Buster’s is an imaginative and dynamic company dedicated to creating innovative entertainment experiences that bring joy, laughter, and excitement to people of all ages. Our mission is to foster a culture of fun and creativity, and we take pride in our commitment to delivering memorable and unique entertainment solutions.

  • Exclusive discounts on food and games at D&B & Main Event
  • Paid Time Off (PTO) that increases with tenure
  • 11 Company Holidays (Including your Birthday) & 2 Floating Holidays per year
  • Medical, dental, vision and voluntary benefits
  • Part Time/Full Time benefits available
  • Sub Benefits:
  • Livongo and Telehealth benefits
  • 401k with company match following 6 months of employment
  • Buster’s Legacy Fund (Supports Team Members during difficult Times)
  • Employee Assistance Program (EAP) Offerings
  • Work out facility on-site
  • Employee Power Card | Free Video Games

We work hard, play hard and have FUN!

Salary Range:

72000 -

96000

We are an equal opportunity employer and participate in E-Verify in states where required.

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