Treasury Analyst II
Responsibilities
- Manage daily cash, bank, and treasury transactions.
- Monitor cash balances, payments, and fund transfers.
- Prepare cash flow reports and bank reconciliations.
- Coordinate with banks and internal stakeholders.
- Maintain accurate treasury records and reports.
- Support treasury controls and process improvements.
Qualifications
- Bachelor’s degree in Finance, Accounting, or related field.
- 2–4 years of Treasury or Finance experience.
- Strong analytical and numerical skills.
- Proficient in MS Excel and financial systems.
- Good communication and attention to detail.