Under the general supervision of the Manager – Cash Management, supports daily treasury operations by preparing cash position reports, short-term cash forecasts, and liquidity analyses; executes and monitors banking transactions; prepares internal reporting to support funding, investing, and working capital decisions; and supports treasury-related regulatory reporting/filings and information requests by compiling and validating required data and documentation. Reviews bank account analyses and fees, maintains banking relationships, and supports evaluation of bank services and creditworthiness.
Stand Out From the Crowd
Upload your resume and get instant feedback on how well it matches this job.
Job Type
Full-time
Career Level
Entry Level