Analyst - Treasury

Hard Rock Digital · Remote job · posted Sep 2, 2026

Open to candidates in United States

Full-timemidgaming

You apply on the company's own site. We never charge to apply.

What this role actually asks for

Extracted by RemoteHunt

Must have

  • •Daily cash position and forecast ownership
  • •Payment execution (wire, ACH)
  • •Vendor registration and banking setup
  • •Month-end close reporting support
  • •Bank fee and account analysis

Nice to have

  • •ERP and banking platform maintenance
  • •Treasury process documentation

The full posting

What are we building? Hard Rock Digital (HRD) is a team focused on becoming the best online sportsbook, online casino, and social gaming company in the world. We are building a team that resonates with passion for learning, operating and building new products and technologies for millions of consumers.

We care about each customer's interaction, experience, behavior, and insight and strive to ensure we are always acting authentically. Rooted in the kindred spirits of Hard Rock and the Seminole Tribe of Florida, the new Hard Rock Digital taps a brand known the world over as the leader in gaming, entertainment, and hospitality.

We are taking that foundation of success and bringing it to the digital space — ready to join us? What is the position? We are looking for a Treasury Analyst to join our treasury team, reporting to the VP, Treasury.

This role is at the center of our daily cash operations — owning the daily cash position and forecast, executing payments, managing vendor registration and banking setup, supporting month-end close reporting, and partnering with operations on projects that keep a fast-growing, multi-state gaming business running, including but not limited to: Prepare the daily cash position and daily cash flow forecast Execute daily payment processing, including wire and ACH preparation, verification, and release Own the vendor registration and banking setup process, including collection and validation of banking details, callback verification, and coordination with accounts payable and procurement Maintain vendor banking records in the ERP and banking platforms, ensuring changes follow fraud-prevention controls Maintain rolling short-term cash forecasts and investigate and explain variances to actuals Support month-end close reporting Prepare monthly bank fee and account analysis reporting, flagging errors and savings opportunities Assist with bank account openings, closings, and maintenance, including documentation and signer updates Prepare state attestation and regulatory cash reporting on schedule Maintain treasury process documentation and support adherence to treasury policies and internal controls Collaborate with internal departments such as accounting, compliance, operations, legal, and payments Support operations and finance leadership on other projects and ad hoc analysis as needed Any other projects as business may require

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