We're looking for a detail-oriented Treasury Analyst – Capital Markets, Foreign Exchange & Liquidity to join our Corporate Treasury team. In this role, you'll support Conduent's global liquidity management by assisting with cash forecasting, capital markets activities, foreign exchange analysis, and treasury reporting. You'll collaborate with Treasury leadership, Finance, Tax, and banking partners to help optimize cash management practices, support financial reporting, and contribute to initiatives that strengthen the company's global financial position. This role provides an excellent opportunity to expand your treasury expertise while gaining exposure to capital markets, foreign exchange, debt management, and global liquidity operations.
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Job Type
Full-time
Career Level
Mid Level