Global Treasury Analyst II: Cash Forecasting & Payments
A financial institution in Schaumburg, IL is seeking an reputed company Treasury Analyst 2 to support daily treasury operations across multiple reputed company including the U.S. and Canada. The role involves cash forecasting, transaction processing, and maintaining accurate banking data. Candidates should have a bachelor’s degree and over 5 years of relevant experience in treasury or cash management, along with strong analytical skills.
The position offers a mix of in-office and work-from-home flexibility.
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