Job Summary
A company is looking for a Treasury Specialist to support global treasury operations.
Key Responsibilities
- Manage and reconcile daily banking transactions across multiple international banks and entities
- Support intercompany fund transfers and settlements, including managing FX conversions and cross-border payments
- Prepare timely and accurate bank reconciliations and cash flow reports
Required Qualifications
- 5+ years of accounting and treasury experience, including managing cross-border banking operations
- Strong experience with multi-bank, multi-currency environments in a distributed organization
- Strong analytical and reporting skills; advanced Excel proficiency
- Experience with ERP systems, with NetSuite experience being a strong asset
- Ability to work independently in a remote and dynamic environment
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