
Posted 3 days ago
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**Analyst - Treasury:** Collaborate with cross-functional teams to manage global treasury operations. Apply advanced spreadsheet skills to forecast cash flow, currency exposure, and risk. Utilize treasury management systems (e.g., Kyriba, GTreasury) to optimize liquidity and fund investments. Requirements: 1-3 years of treasury experience, solid Excel proficiency, and CPA a plus.
- Compensation
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Currency: Not specified




