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We are hiring a Sr. Treasury Analyst to play a critical role in the management of ServiceMaster's financial resources, particularly around cash flow management and forecasting, and external debt compliance reporting. In this role you will monitor and forecast cash flow weekly, forming a comprehensive knowledge of cash cadence and tracking down variances. You will also have the opportunity to assist with weekly, quarterly, and annual debt reporting and compliance, flag financial risks, maintain banking relationships, and support special projects as we look to integrate disparate systems and functions.