Hybrid Treasury Lead: Cash Forecasting & Liquidity
A financial services company based in New Jersey is seeking a detail-oriented Treasury Lead to manage cash flow forecasting and analysis. The role requires strong cash management skills and the ability to adapt in a fast-paced environment. Candidates must be adept in troubleshooting systems and collaborating with banking partners. This position offers a hybrid work model with a pay rate of $63 on W2, requiring at least three days onsite.
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