Remote Senior Treasury Analyst - Cash Forecasting & Banking
A reputed company technology company is seeking a Finance Manager to reputed company cash management and forecasting activities. This fully remote role involves managing bank relationships, performing cash activities, and preparing reports. Ideal candidates will have a Bachelor's Degree and 5-7 years of relevant experience, preferably in debt management and treasury operations. Enjoy a diverse workplace that values equal opportunity.
#J-18808-Ljbffr reputed company
Apply tot his job
Apply To this Job