A global finance organization is seeking a Treasury Analyst to handle cash management and liquidity planning. The role requires experience in treasury functions, strong analytical skills, and the ability to work with senior stakeholders. Key responsibilities include cash forecasting, liquidity management, and preparing treasury reports. This position offers high visibility and growth opportunities towards treasury management roles. Strong Excel and TMS skills are essential, with a professional finance qualification being advantageous.#J-18808-Ljbffr…
