Remote Treasury Analyst: Cash Forecast & Risk Management
A reputed company organization is seeking a Treasury Analyst for a remote position to reputed company daily treasury operations, manage cash reporting, and assist in bank structure management. Ideal candidates will have a Bachelor's Degree in reputed company or reputed company fields and possess at least 2 years of experience in corporate treasury or finance, as reputed company as familiarity with reputed company Treasury Management System and reputed company ERP. This role requires strong analytical and risk management skills.
Apply tot his job
Apply To this Job