I’m partnered with a complex, global, multi-entity manufacturer on a new Senior Treasury Analyst addition to the team, to support core treasury operations for their Americas division. This role offers strong exposure to senior stakeholders and the opportunity to influence liquidity strategy, financial risk management, and operational efficiency.
Key Responsibilities
Oversee daily cash positioning, funding, and liquidity management across multiple business unitsExecute treasury operations, including payments, banking activity, and short-term financing programsSupport risk management efforts, including FX exposure, hedging activities, and compliance controlsDeliver timely reporting and analysis on cash, debt, and investment performance to leadershipDrive process improvements, systems enhancements, and support treasury-related projects and integrations Qualifications
Bachelor’s degree in Fi...