Become a critical part of a fully remote finance department as a Treasury Analyst. Manage liquidity, cash flow, and financial risk while optimizing banking relationships from home.
Our client is looking for a detail-oriented Treasury Analyst with robust analytical skills. You will play a vital role in cash forecasting and supporting investment activities, making this position perfect for proactive specialists. A minimum of three years of experience in treasury operations or corporate finance is required for this agile role.
Key Responsibilities:
• Develop cash flow forecasts to ensure liquidity
• Manage daily cash operations and process transactions
• Analyze treasury metrics and investment performance
• Support short-term investment and debt management strategies
• Recommend improvements to treasury processes and systems
Requirements:
• Bachelor’s degree in Finance or related field
• At least 3 years in treasury operations or finance
• Proficiency in Excel; TMS experience is a plus
• Strong understanding of financial markets
• Excellent analytical and communication skills
Leverage your financial expertise to enhance the cash management functions at this remote finance team.
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📌 Remote Treasury Analyst At Growing Firm British Columbia
🏢 Placements24
📍 British Columbia
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