Remote Treasury Analyst - Cash Management & Automation
Location: New York
A dynamic financial technology firm is seeking a Treasury Analyst to join their Treasury Operations team. This remote role involves cash management, banking operations, and ensuring liquidity through daily cash positioning. Candidates should have a Bachelor's degree in Finance or Accounting, 2–4 years of relevant experience, and strong analytical skills. The position also requires proficiency in ERP systems and Microsoft Office.
This is an opportunity to contribute to meaningful work that supports small and medium businesses across the U.S.
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