Treasury Analyst: Cash Forecasting & Systems Enablement
Listed on 2026-09-27
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Finance & Banking
Financial Analyst, Banking & Finance
Xebia Group is seeking a Treasury Analyst to support cash reporting, forecasting, and documentation across group entities. The role focuses on accuracy, process discipline, and seamless collaboration with banks and internal stakeholders.
The successful candidate will assist with a new Treasury Management System, maintain policy logs, and help transition manual workflows to automated processes while working in English in an international environment.
As a Treasury Analyst:
Cash Forecasting & Systems Enablement, you will play an important part at Xebia Group in United States.
Please review the full job details above before applying.
If your experience matches this role, we encourage you to apply.
All applications are reviewed carefully by our team.
This is a Full Time role.
The position is based in United States.
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