A company is looking for a Treasury Analyst, Cash Management.
Key Responsibilities :
Manage global bank account initiatives, including onboarding and closing accounts and administering bank portal access
Oversee daily cash management activities, including payments, investments, and debt servicing
Administer the Intercompany Netting Portal and manage global intercompany loan documentation and maintenance
Required Qualifications :
Bachelor's degree in accounting, finance, economics, or a similar field
2+ years of cash management, banking, and / or financial markets experience
2+ years of proficiency with Excel and financial systems
1+ years of project management experience
Treasury Analyst • Elizabeth, New Jersey, United States