Optiv is seeking a Sr. Treasury Analyst to support the Company’s enhanced focus on liquidity forecasting, cash visibility, and financial discipline. This role will be instrumental in strengthening day‑to‑day liquidity monitoring, improving short‑term cash forecasting accuracy, and supporting management and lender reporting. The position is deliberately analytics and forecasting oriented, with less emphasis on routine treasury transaction processing, as those activities are currently supported by a dedicated, experienced treasury resource. Over time, this role will provide cross‑training and backup coverage to strengthen treasury resiliency and controls.
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Job Type
Full-time
Career Level
Senior