Treasury Analyst-Cash Management
Fort Worth, TX
We currently are seeking a Treasury Analyst-Cash Management to assist with cash management; in flow, reconciliation, wires and reporting on a global level. The desired candidate will collaborate with business management leaders (Chief Accounting Officer and Treasury Manager) on all investments, advising on cash operations and utilization globally, as well as treasury projects.
Requirements of the Treasury Analyst-Cash Management:
- Bachelor's degree
- 3+ years of experience in the financial services industry, Big 4s Treasury Consulting background a plus.
- Cash Management-Reconciliation, wires, foreign currencies, reporting
- Proficiency with Microsoft Office
- Advanced excel required
- General treasury related applications and general ledger experienceThis client offers competitive salaries, bonus opportunities, comprehensive benefits package, top notch reputation, growth opportunities, team environment, posh office space, and daily perks such as catered lunches daily!!!
If qualified, send your resume to Allison Harrison at firstname.lastname@example.org and call 817-635-0500X162 for immediate consideration.
Job Status: Full Time