Strategic Treasury Associate – Cash Forecasting & Growth
Listed on 2026-10-11
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Finance & Banking
Corporate Finance, Financial Analyst
Metrea is seeking a Treasury Associate to manage cash, conduct daily cash positioning, and execute transactions. The role supports bank reconciliations, disbursements, and FX activities to maintain financial stability across the organization.
You will partner with FP&A to forecast cash needs, optimize bank structures, and modernize payment flows toward ACH/electronic channels. A strong accounting background and US GAAP know-how are essential.
Consider building your career as a Strategic Treasury Associate – Cash Forecasting & Growth at Metrea.
The Strategic Treasury Associate – Cash Forecasting & Growth role at Metrea is now open for applications in Washington, DC, United States.
Join us at Metrea as our next Strategic Treasury Associate – Cash Forecasting & Growth in Washington, DC, United States.
We are currently recruiting a Strategic Treasury Associate – Cash Forecasting & Growth for our team in Washington, DC, United States.
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