Remote Treasury Leader - Forecasting, FX & Cash Strategy
A global life sciences data provider is seeking a Treasury Manager to lead the development of cash forecasting models and manage cash functions. Responsibilities include overseeing daily cash management, optimizing intercompany settlements, and building relationships with banking partners. Candidates must have extensive experience in cash management, a strong grasp of financial planning, and relevant certifications like MBA, CTP, or CPA. The position is remote with a competitive salary range of $130,000 to $150,000 and a bonus eligibility.
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