Hybrid Treasury Operations Analyst-Cash Flow & Forecasting
Occupations:
Treasurers and ControllersFinancial Specialists, All OtherAccountants and AuditorsFinancial Clerks, All OtherBookkeeping, Accounting, and Auditing ClerksIndustries:
Accounting, Tax Preparation, Bookkeeping, and Payroll ServicesAmusement Parks and ArcadesForging and StampingPipeline Transportation of Crude OilNondepository Credit IntermediationA leading technology firm based in Colorado is seeking a Treasury Analyst to manage cash flow forecasting and reporting. This role involves preparing daily cash transactions, interacting with various departments, and ensuring accuracy in financial activities. Candidates should have a Bachelor's degree in Finance or Accounting and at least one year of relevant Treasury experience. The position is hybrid, requiring three days in the office each week, and offers a competitive salary range of $61,000 to $101,000 annually.
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