The Analyst, Treasury & FP&A will support the Treasury department with daily cash positioning, debt management, cash reporting, and liquidity forecasting. This role also involves bank account administration, processing and reconciling daily bank activity, and supporting the monthly close process. The analyst will assist in preparing monthly reporting packages, own periodic flash & KPI reporting, and develop sustainable processes for efficiency and accuracy. A key aspect of the role is to become a data expert, proficient in company data sources and reporting platforms, and to support ad hoc projects and analyses for leadership.
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Job Type
Full-time
Career Level
Entry Level