About the Role The Treasury Department is seeking a professional with strong experience in Treasury Operations to serve as a Treasury Operations Analyst with a focus on c ash and liquidity m anagement. Under the direction of the Division Manager, this position would have responsibility for managing day-to-day cash flows, the processing of electronic funds transfers , cash forecasting, and daily/monthly cash account reconciliations. Responsibilities would include: controlling cash balances to maximize cash available for investment; forecasting, monitoring and accounting for cash flows to ensure sufficient levels of cash are available to meet cash requirements and daily initiation and completion of the SAP automated wire payment proposal. Candidate would also provide back-up for other treasury operations functions , including but not limited to investment portfolio administration and trans actional support and debt management support .
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Job Type
Full-time
Career Level
Entry Level