As the Treasury Analyst, you will support the organization’s global Treasury operations by calculating the daily cash position, analyzing working capital, and adhere to accurate execution of treasury transactions across the company’s banking structure. This role partners with internal business partners to enhance operational efficiency, and administers user access on banking platforms, Kyriba and other treasury systems. You will also assist with cash forecasting, as well as debt, and treasury reporting while ensuring compliance with internal controls and Treasury policies. In addition, the role provides analytical insights to treasury leadership and supports strategic initiatives, including capital allocation, system improvements, and special projects.
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Job Type
Full-time
Career Level
Entry Level