A company is looking for a Treasury Analyst responsible for managing cash flow models, investments, and reporting.
Key Responsibilities
Manage and analyze daily, monthly, and long-term cash flow models for decision-making
Maintain banking relationships and oversee investment opportunities and compliance
Administer Visa / MC contracts and manage budgeting and forecasting of sales volumes
Required Qualifications
Bachelor's Degree in Accounting or Finance required
Two years of experience in Accounting or Financial operations
General knowledge of investment / cash flow and three years of industry knowledge
Experience in data mining, data warehouse, Access, Excel, and reporting
Treasury Analyst • Buffalo, New York, United States