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Treasury Analyst II
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- These teams exercise expertise across Compliance, Credit, Financial Planning, and Reporting, Tax, Treasury, Procurement and Strategy.
- As Treasury Analyst, you will be a key member of Corporate Treasury, reporting to the Treasury Manager.
- Your broad treasury experience will enable you to effectively support core treasury activities, including bank account management, cash management, cash forecasting, internet banking system administration, and treasury reporting.
- 3+ years of treasury experience at a mid-cap or larger multi-national public company with direct experience performing bank account management, cash management, and other corporate treasury activities
- Experience using internet banking systems, Treasury Management Systems (TMS), and Enterprise Resource Planning (ERP) systems.
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