The Company is looking for a dynamic and proficient Analyst who is ready to make their mark and help build a world class Treasury organization and take it to the next level. This role reports to the Manager, Treasury or the Vice President, Treasury depending on their experience and will collaborate on internal and cross functional projects in the areas of Domestic and International Treasury Operations, Working Capital Management, Financial Risk Management, Shared Services Automation, Banking and Cash Management, Cash Flow Forecasting, and others. The Analyst will be able to visualize data, have strong analytical skills and should be able to showcase data to a wide audience in a meaningful manner by creating dashboards and presentations to spur action and drive decision making across the organization. The role requires a strong sense of work ethic and a person that can challenge the status quo. The right candidate will exhibit a strong interest in learning new topics, accepting new and varied assignments, and an exceptional sense of commitment to being among the best in the profession. The ideal candidate will also show commitment to continuous education and development by pursuing certifications such as CFA and / or CTP.
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Job Type
Full-time
Career Level
Entry Level