Job Description & How to Apply Below
In response to business growth, our client is hiring two Senior Treasury Analysts to enhance their Treasury department. This position is hands-on and will involve high-volume vendor payment processing, cash flow forecasting, and the administration of treasury controls. You will partner with multiple financial functions to achieve objectives and improve existing workflows.
Key Responsibilities:
• Validate execution of vendor payments across bank systems
• Reconcile treasury-related AP files and resolve issues
• Support newly approved FX hedging initiatives
• Maintain records of intercompany loans and cash activity
• Improve cash forecasting methodologies with stakeholders
Requirements:
• 3+ years relevant finance/treasury experience
• Experience with payment processes and bank portals
• Knowledge of multi-currency and cross-border operations
• Strong Excel capabilities for data analysis
• Effective communication across finance and banking entities
Bring your financial expertise into a role that enhances treasury operations and supports strategic objectives.
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Position Requirements
10+ Years
work experience
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