The Corporate Treasury team offers a collaborative environment and global scope with opportunities to develop strong analytical, problem-solving, and communication skills. We are seeking a self-starter who is driven to enhance global treasury processes, solve complex challenges, and maintain a strong control environment. This role provides a dynamic combination of treasury operations and strategic initiatives, contributing directly to Ecolab’s continued success. The Senior Treasury Analyst - Cash Management will manage North America and Latin America cash management and banking operations, while optimizing Ecolab’s global liquidity. The role will partner with Market teams and Corporate Functions to execute key initiatives, and support treasury transformation projects, M&A integrations, and global ERP implementations. This position will also liaise with banking partners and collaborate with Global Business Services to implement new programs and support working capital strategies.
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Job Type
Full-time
Career Level
Senior