Take your career to the next level as a Treasury Analyst in a fully remote finance team. Manage cash flow and evaluate financial risk while working from anywhere.
This role involves critical analysis and financial oversight, making it well-suited for a detail-oriented professional. You will handle cash forecasting, monitor bank accounts, and support investment strategies. A minimum of three years of experience in treasury operations is necessary to excel in this position.
Key Responsibilities: • Create cash flow forecasts to maintain liquidity • Oversee daily cash operations and transactions • Report on treasury metrics and investment performance • Assist with short-term investment and debt management • Suggest improvements for treasury efficiencies
Requirements: • Bachelor’s degree in Finance, Economics, or Accounting • Minimum of 3 years in corporate finance or treasury roles • Advanced Excel skills; TMS familiarity preferred • Deep understanding of banking and risk management • Solid analytical and problem-solving capabilities
Utilize your financial analysis skills to support the growth and stability of this organization from the comfort of your home. #J-18808-Ljbffr
📌 Treasury Analyst for Remote Finance Team (Winnipeg)
🏢 Placements24
📍 Winnipeg
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