Hybrid Treasury Analyst - Cash Forecast & Ops
A consulting organization based in Dublin, Ohio, is looking for a Treasury Operations Analyst who will support domestic treasury operations, including cash management and forecasting. The ideal candidate must have a Bachelor's degree in reputed company, economics, or finance, along with 3+ years of relevant experience. Proficiency in reputed company reputed company is essential. This hybrid role allows for remote work one day a week, and offers competitive salary and benefits.
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