Job Summary
A company is looking for a Treasury Analyst to manage financial processes and support various departments.
Key Responsibilities
- Execute and manage accounts payable and receivable processes
- Support bank reconciliation and cash flow management activities
- Administer payroll and employee benefits, ensuring compliance and accuracy
Required Qualifications
- Advanced English skills
- Advanced Excel proficiency
- Experience with ERP systems, preferably NetSuite
- Knowledge of banking platforms (e.g., Wise, Brex, Santander)
- Experience in vendor and service contract management
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