Requirements and Description
We are seeking a detail-oriented and analytical Treasury Analyst to support the company’s financial operations by managing daily cash flow, analyzing financial data, and assisting with banking and investment activities. This role plays a key part in ensuring the organization's liquidity and optimizing financial performance.
Key Responsibilities:
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Monitor and manage daily cash positions and forecasts to ensure adequate liquidity.
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Assist in managing banking relationships and coordinating cash movements across accounts.
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Support the preparation of treasury reports, including cash flow projections and variance analyses.
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Help maintain compliance with internal controls, policies, and procedures related to treasury operations.
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Assist with debt, investments, and foreign exchange activities as needed.
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Work cross-functionally with accounting, finance, and business units on treasury-related matters.
Qualifications:
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Bachelor’s degree in Finance, Accounting, Economics, or related field.
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1–3 years of experience in treasury, finance, or accounting preferred.
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Strong analytical and Excel skills.
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Familiarity with cash management systems or treasury management software is a plus.
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High attention to detail and ability to work in a fast-paced environment.