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Treasury Analyst at Artemis Gold
Job Description & How to Apply Below
The Treasury Analyst role at Artemis Gold focuses on managing cash flows and enhancing treasury functions. With a strong financial backing, this position helps generate value through forecasting and maintaining liquidity. You will interface with accounting and financial planning and analysis teams to support ongoing operational efficiency.
Key Responsibilities:
• Monitor and manage cash position effectively
• Prepare weekly cash flow forecasts and analyses
• Create payments per approved cash flow projections
• Maintain treasury records and execute bank reconciliations
• Support treasury administrative functions and banking platforms
Requirements:
• 3-5 years in treasury or accounting roles
• Basic understanding of working capital management
• Bachelor's degree in finance, accounting, or related field
• CPA designation is a plus
• Experience in vendor-facing roles is beneficial
Enhance treasury operations with skills in cash management, forecasting, and meticulous record-keeping at Artemis Gold in Vancouver.
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