Job Summary
A company is looking for a Financial Analyst to support the optimization of cash liquidity strategies for public sector clients.
Key Responsibilities
- Ingest and analyze client data to ensure timely and accurate reporting
- Develop monthly and quarterly cashVest reports, analyzing client cash liquidity and treasury data
- Collaborate across teams to support new initiatives and prepare ad hoc analyses for clients
Required Qualifications
- Bachelor's degree in Finance, Economics, Mathematics, Information Technology, Public Administration, or a related field preferred
- Previous experience in financial or economic analysis, or in a public service environment, is strongly preferred
- Proficient in Microsoft Office, particularly Excel; familiarity with SQL, R, or other programming languages is a plus
- Strong organizational and time-management skills, capable of managing competing priorities
- Highly motivated self-starter with a proactive approach to problem-solving
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