The Senior Financial Analyst, Treasury - Corporate Finance will be responsible for maintaining the enterprise long-term capital planning process, long-term cash forecasting process, debt management, and the administration of the company’s share repurchase and trade finance programs. These responsibilities include working with various business partners to collect data used in the capital plan and cash forecast, maintaining and enhancing the capital plan and cash forecast financial models, producing reports for management, completing variance analysis, managing daily operations for the company’s share repurchase, and trade finance program, and supporting capital market transactions.
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Job Type
Full-time
Career Level
Senior