The Analyst, Treasury & Financial Planning will support the Company’s day-to-day treasury operations, liquidity planning, and banking relationships, while contributing to broader financial planning and reporting efforts. This role sits at the intersection of cash management, debt strategy, and financial analysis, with direct visibility into cash positioning, borrowing activity, and capital structure. This individual will manage cash positioning, support borrowing and repayment decisions, and maintain cash flow forecasts that inform executive decision-making and debt covenant management. The role requires a self-starter who can operate with ownership and help build structure in a growing environment. The Analyst will also partner with FP&A and Accounting to connect cash flow, working capital (AR/AP), and EBITDA forecasting—improving visibility across the organization.
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Job Type
Full-time
Career Level
Entry Level
Number of Employees
101-250 employees