This treasury analyst position requires knowledge in cash management and investments. A strong desire to develop further expertise in the treasury and investment processes is a prerequisite. Duties will include both finance and accounting related activities, such as research, analyzing data, and resolving discrepancies. Other responsibilities include active participation in investment team meetings, building knowledge of insurance operations, risk tolerance, and investment related research and reporting duties. This team member will also help maintain and organize a cash flow model to be utilized by the Company.
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Job Type
Full-time
Career Level
Mid Level