The Treasury Analyst is responsible for managing daily cash and liquidity activities across the organization, ensuring efficient cash positioning, funding, forecasting, investment execution, debt administration, and managing banking operations. This role serves as a key contributor in transforming treasury processes from manual and spreadsheet-driven activities to a centralized Treasury Management System (Oracle), while maintaining strong governance, controls, and business partnerships. The position requires strong analytical skills, attention to detail, and the ability to support treasury operations, banking activities, and process improvement initiatives. The ideal candidate is eager to learn, develop treasury expertise, and contribute to improving cash management and operational efficiency.
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Job Type
Full-time
Career Level
Mid Level