# Treasury Analyst at Anduril Industries

AI Level 1, AI centrality 0 out of 100. Costa Mesa, California, United States.

## Details

- Company: [Anduril Industries](https://jobsbylevel.com/companies/anduril-industries)
- AI level: AI Level 1 (score 0 out of 100)
- Location: Costa Mesa, California, United States
- Salary: $77k-$102k
- Posted: October 6, 2026
- Apply: https://jobsbylevel.com/go/46aa9ad8-7914-4a86-8ee8-c1edd351b7d0

## Description

Anduril Industries is a defense technology company with a mission to transform U.S. and allied military capabilities with advanced technology. By bringing the expertise, technology, and business model of the 21st century’s most innovative companies to the defense industry, Anduril is changing how military systems are designed, built and sold. Anduril’s family of systems is powered by Lattice OS, an AI-powered operating system that turns thousands of data streams into a realtime, 3D command and control center. As the world enters an era of strategic competition, Anduril is committed to bringing cutting-edge autonomy, AI, computer vision, sensor fusion, and networking technology to the military in months, not years. ABOUT THE JOB We are looking for a Treasury Analyst with 2–5 years of experience in corporate cash management and banking operations. You will run our day-to-day global treasury operations. Operating in a high-volume, multi-currency environment, you will be responsible for hands-on execution of daily cash positioning, payment processing, and bank portal administration across our banking and financial institution relationships. The role demands precision and control discipline to safeguard Anduril's cash. You will play an integral part in the Treasury Management System implementation process and ultimately be responsible for its day-to-day management post go-live. This position reports to the Treasury Lead. WHAT YOU’LL DO Manage and execute daily global cash positioning across our legal entities and multiple currencies, ensuring adequate funding for daily operations with recommendation of daily short term investment redemption/investment activities Prepare and initiate daily domestic and international wire transfers, ACH payments, and intercompany funding movements. Process multi-currency notional cash pooling and FX trade settlements. Act as the primary processor for corporate debt/revolver drawdowns, interest payments, and short-term yield investments. Perform daily bank reconciliations and coordinate cash application with Accounting. Support the compilation and variance analysis of the short-term cash flow forecast. Bank Account Administration & Controls Maintain Anduril's global bank account inventory, supporting account opening and closing workflows in multiple jurisdictions. Coordinate the gathering and submission of Know Your Customer (KYC) documentation and bank account signer updates. Manage user access across banking platforms – granting access and entitlements to new users as well as deactivating users immediately upon employee termination. Treasury Systems & Project Support Partner with cross-functional teams on the implementation of the automated Treasury Management System (TMS). Manage Bloomberg terminal maintenance and user administration. Maintain standard operating procedures (SOPs) for daily cash operations and banking configurations. Compliance & Audit Support Gather bank statements, signatory lists, and bank audit confirmation letters for internal and external auditors. Support month-end close with cash, interest, and bank fee reconciliations and related journal entries. Support SOX and internal-control walkthroughs and testing for treasury processes. REQUIRED QUALIFICATIONS Education: Bachelor's degree in Finance, Accounting, Economics, Business Administration, or a related field. Experience: 2–5 years of progressive, hands-on experience in corporate treasury operations, cash positioning, or commercial banking. Technical Skills: Advanced proficiency in Microsoft Excel (financial modeling, standard formulas, pivot tables). Experience in navigating and initiating transactions within global banking portals. Direct hands-on experience with treasury management systems (FIS, GTreasury/Ripple, Kyriba, or similar); familiarity with ERP systems (Oracle Fusion, SAP, or similar) is a plus. Must be a U.S. Person due to required access to U.S. export-controlled information or facilities PREFERRED

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