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Treasury Analyst Cash Management & Forecasting

A prominent digital infrastructure company in Denver is seeking a Treasury Analyst to support treasury operations with a focus on cash management. Responsibilities include overseeing daily cash positions, initiating bank transactions, and assisting with cash flow forecasting. Candidates should have a Bachelors in Accounting, Finance, or Economics, proficient MS Excel skills, and be able to interpret financial data. The position offers a hybrid work model and competitive benefits package. J-18808-Ljbffr