Job Summary
A company is looking for a Treasury Analyst (Remote).
Key Responsibilities
- Manage daily domestic cash and assist with cash flow forecasting
- Support banking operations and monitor banking fees
- Assist in documentation and compliance of Treasury processes and controls
Required Qualifications
- Bachelor's degree in finance or economics; MBA or CTP preferred
- 5+ years of treasury experience required; banking experience preferred
- Proven understanding of global cash management and banking practices
- Ability to develop strong relationships with internal and external partners
- Strong analytical skills with experience in evaluating data trends
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