Job Summary
A company is looking for a Sr. Treasury Analyst to join the team.
Key Responsibilities
- Oversees day-to-day cash management activities, including cash flow planning and forecasting
- Partners with cross-functional teams to implement strategic improvements and enhance internal controls
- Performs treasury-related financial analysis and develops cash management and investment strategies
Required Qualifications
- Bachelor's Degree in Finance, Management, Accounting, Business, or related field
- 3 years of experience in treasury-related functions, either in banking or corporate/nonprofit settings
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