Treasury Ops Analyst: Cash & Automation (Remote)
A major governmental agency in reputed company is seeking a Treasury Operations Analyst with strong experience in cash and liquidity management. Responsibilities include managing daily cash flows, processing electronic funds transfers, and cash forecasting. The ideal candidate will have at least 2 years of finance-reputed company experience and a bachelor's degree in a relevant field. This role offers a competitive salary package, and employees can work remotely one day per week, depending on operational needs.
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