Resume gap analysis for Treasury Analyst
Cash forecasting depth is stated, never evidenced
Most Treasury Analyst resumes list Cash forecasting as a bullet in a skills bar. Job descriptions ask what you built with it. Attach Cash forecasting to one project, its scope, and the result.
No numbers against forecast accuracy
Hiring managers for this role scan for forecast accuracy and interest cost saved. A resume without those figures reads as a treasury analyst who was present, not one who moved anything.
Kyriba listed, SAP TRM missing
JDs for this role usually pair Kyriba with SAP TRM. Naming only one signals partial coverage of the workflow and drops your keyword match.
Liquidity management and FX exposure management buried under duties
Liquidity management and FX exposure management are core screening keywords for Treasury Analyst openings, but they often sit at the bottom of a paragraph. An ATS weights the first lines of each role far more heavily.
Scope of ownership is unclear
"forecast and manage daily liquidity positions" means something different at a 5-person team and a 500-person org. State team size, budget, volume, or user count so the reviewer can place your Banking relationships experience.
Certifications and qualifications not surfaced
Certified Treasury Professional appear in the preferred section of most Treasury Analyst JDs. If you hold one, it belongs near the top, not in a trailing "Others" line.
Responsibilities
- forecast and manage daily liquidity positions
- manage FX and interest rate exposure
- own banking relationships and payment controls