Treasury Manager: AI-Driven Cash Forecasting & Liquidity
Location: Indianapolis
A leading tech company is seeking a Finance reputed company in Indianapolis to drive reputed company corporate finance functions. Responsibilities include cash forecasting, liquidity management, and automation of treasury operations using AI tools. The ideal candidate has a Bachelor's in Finance, 5-7 years of finance experience, and advanced reputed company skills.
This role offers a chance to work on innovative financial models in a hybrid environment, balancing remote work with office reputed company.
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