Jobs and Careers
RO

Senior Treasury Analyst

Rowan Digital Infrastructure
United Statesfull_timeVerifiedPosted 10 May 2026
💰 $135,000/yr($110,000/yr$135,000/yr)

About the role

Rowan Digital Infrastructure is redefining how data centers are delivered—faster, smarter, and at scale. We partner with hyperscale customers to provide tailored, high-performance infrastructure with a focus on sustainability, efficiency, and flexibility.

Our experienced, end-to-end team delivers custom solutions across a growing portfolio of strategic sites in key markets across the United States. Backed by Quinbrook Infrastructure Partners, Rowan is committed to enabling the next generation of digital infrastructure—and building a more sustainable future in the process.

Ready to help transform how the world’s most important technologies are powered? Join us.

Role Summary

Rowan Digital Infrastructure is looking for a Senior Treasury Analyst that supports Rowan’s treasury and liquidity management activities. This role is responsible for maintaining the company’s short- and long-term liquidity forecast, administering bank accounts, and managing corporate credit card programs.

The position will report to the Controller and partner closely with Accounting, FP&A, Capital Markets, Investor Relations, and cross-functional teams to ensure accurate cash visibility, disciplined controls, and timely reporting.

Travel: Ability to travel up to 20% for company gatherings or for site visits.

Location: Denver, CO (hybrid in-office role)

Compensation: $110-$135K (Offers Bonus)

Essential Responsibilities:

Liquidity Forecasting & Cash Management

  • Maintain and update the consolidated liquidity forecast using inputs from Accounting, and FP&A

  • Validate forecast assumptions, including timing of capital contributions, debt draws, vendor payments, and operating cash flows

  • Perform actual cash activity versus forecast and clearly identify, adjust for, and communicate variances

  • Support scenario and sensitivity analyses to assess cash runway and financing needs

  • Prepare clear, audit-ready support for liquidity assumptions used in internal and external reporting

Banking Administration

  • Administer corporate bank accounts, including openings, closures, signatory maintenance, and user access controls

  • Manage daily cash positioning and monitor account balances and transactions

  • Coordinate with Accounting and the external accounting group on cash reconciliations and month-end close support

  • Serve as a primary point of contact with banking partners for routine operational matters

Credit Card & Payment Programs

  • Administer corporate credit card programs, including onboarding, limits, compliance with expense policies, and user support

  • Partner with Accounting and the external accounting group to ensure timely expense reporting, coding, and reconciliation

  • Monitor card activity for policy compliance and escalate issues as needed

Cross-Functional Support & Controls

  • Partner with FP&A to align liquidity forecasts with budgets and operating forecasts

  • Support Accounting with cash-related schedules for audits, lenders, and investors

  • Assist with documentation and maintenance of treasury policies, processes, and internal controls

  • Contribute to treasury-related system improvements and process automation initiatives

Ownership & Execution

  • Own assigned areas end-to-end

  • Deliver accurate, timely, and high-quality outputs in a fast-paced environment

  • Proactively identify issues, recommend solutions, and escalate to the Controller as appropriate

  • Collaborate cross-functionally to support business initiatives

  • Document and enhance existing processes, procedures, and policies

Education, Skills, and Experience

Required:

  • Bachelor’s degree in Finance, Accounting, or a related field

  • 3–5+ years of relevant experience in treasury, accounting, FP&A, or cash management roles Strong understanding of U.S. GAAP and core accounting processes

  • Advanced Excel skills and experience working with forecast models

  • High attention to detail with the ability to manage multiple cash-related workstreams

  • Clear, concise communication skills with the ability to explain cash impacts to cross-functional teams

  • Comfortable operating in a fast-paced, evolving organization with shifting priorities

Apply for this role

Generate a tailored application kit with a matched cover letter, interview prep, and CV highlights — in under 60 seconds.

Apply Now →Generate Application Kit

Free account required — sign up in 30s

Company

Rowan Digital Infrastructure

View company profile →