We are seeking a highly analytical and detail‑oriented Treasury Consultant to support domestic cash operations, liquidity management, and short‑term investment activities across several domestic entities. This Treasury role plays a critical part in the day‑to-day management of the company’s liquidity, banking relationships, and treasury operations, ensuring funds are positioned efficiently while maintaining strong controls and compliance. The Treasury Consultant prepares and analyzes daily cash positions across multiple domestic and foreign currency bank accounts and supports funding, payments, investments, and liquidity decisions while maintaining strong controls and compliance. The ideal candidate combines strong financial analysis skills with sound business acumen, understands data and alternatives, and provides clear business recommendations in a fast-paced, deadline-driven environment. This role requires close coordination with banking partners, broader Treasury group, Finance hub teams, and cross-functional stakeholders to ensure sufficient liquidity to support business operations while efficiently moving funds.
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Job Type
Full-time
Career Level
Entry Level