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Strong fit if you want senior treasury work at a large self-storage company in Salt Lake City (on-site), with emphasis on analysis, liquidity, and cross-team execution rather than client-facing deal origination.
As a Sr. Treasury Analyst at Extra Space in Salt Lake City, expect work on liquidity, cash positioning, and funding needs for a multi-site storage operator. Days likely mix short-term cash forecasting, bank and debt coordination, and analysis that supports capital structure and operational cash flow—not client investment banking.
No—the listing is Salt Lake City, UT, and marked non-remote.
Extra Space operates self-storage facilities; public news also covers consumer settlements and new site openings.
O*NET summarizes related Financial and Investment Analyst work at this page.
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Website: extraspace.com
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Extraspace is hiring a Sr. Treasury Analyst for a full-time role based in Salt Lake City, UT, United States. This opportunity lets you contribute your expertise to core cash and liquidity functions while growing in a headquarters-area finance environment. Position Summary The Sr. Treasury Analyst at Extraspace owns day-to-day treasury operations and analysis that keep the organization liquid, efficient, and risk-aware. Working on-site in Salt Lake City, UT, United States, you will partner with finance leadership on forecasting, banking relationships, investment decisions, and process improvements so capital is deployed optimally. The full-time position requires analytical precision, strong systems knowledge, and clear communication of treasury results to stakeholders seeking Sr. Treasury Analyst jobs near Salt Lake City, UT. Key Responsibilities Monitor and manage daily cash positions, initiate wires and transfers, and maintain accurate bank balances and reconciliations. Build and maintain short- and medium-term cash-flow forecasts, explain variances, and recommend actions that improve liquidity visibility. Coordinate with banking partners on account structures, services, fees, and activities that support efficient fund movement. Assess short-term investment alternatives for excess cash in accordance with board-approved investment policies. Track debt balances, interest, and key compliance metrics and assist with related reporting and covenant calculations. Prepare clear treasury reports, dashboards, and presentations for management review and external stakeholders. Identify and implement process and automation opportunities that reduce manual effort and strengthen controls. Support internal and external audits by supplying documentation and answering treasury-related inquiries promptly. Requirements Bachelor’s degree in finance, accounting, economics, or a closely related field. Several years of progressive treasury, cash-management, or corporate-finance experience, preferably at the senior-analyst level. Strong command of Excel and fluency with treasury workstation or ERP cash modules; ability to query data and build models quickly. Solid understanding of cash forecasting methods, bank account structures, and standard liquid investment vehicles. Excellent written and verbal communication skills for presenting findings and collaborating across departments. Detail-oriented approach combined with the ability to prioritize work under tight monthly and quarterly cycles. Must be able to work on site full time at the Salt Lake City, UT location. About Extraspace Extraspace is hiring for this…
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