As part of Intersectâs Treasury team, youâll help ensure the company has clear visibility into cash, strong liquidity planning, and disciplined treasury operations as the business scales. Reporting to the Head of Treasury, this role sits at the center of day-to-day cash operations and forward-looking liquidity oversight, combining hands-on execution with strategic ownership of forecasting, reporting, and process design. Youâll own the cash forecast model and cadence, lead liquidity planning across near- and mid-term horizons, and serve as a key interface with FP&A, Accounting, Operations, and our parent company. This role is designed for a treasury leader who can identify gaps, implement best-practice frameworks, and bring structure and governance to a rapidly evolving environment.
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Job Type
Full-time
Career Level
Mid Level