A company is looking for a Treasury Analyst.
Key Responsibilities
Manage operations bank and relationships, acting as a liaison between banks and internal partners
Analyze and implement banking products, support M&A activities, and manage cash liquidity
Provide analytical support for investment portfolios and prepare reports for management and board committees
Required Qualifications
3+ years of financial analysis experience
Investment reporting / accounting knowledge
High school diploma, Associate's or Bachelor's degree in Finance or related field
Proficiency in financial analysis principles and Microsoft Office products
CTP certification preferred
Treasury Analyst • Austin, Texas, United States