Senior Treasury Business Intelligence Analyst

Remotelyjobs

Remote
Remote
Cash management function
Operational excellence
Automation and ai capabilities
Remote is seeking a Senior Treasury Business Intelligence Analyst to enhance their Cash Management function. This fully remote role focuses on driving operational excellence through automation and data-driven decision-making, requiring a strong financial background and analytical skills

Job Summary

  • This role is designed to drive operational excellence, automation, and data-driven decision-making across global cash management and treasury-related activities.
  • The successful candidate will be a hands-on problem solver and high performer, with a strong financial background and a solid understanding of banking processes, cash flows, and financial operations, combined with the ability to leverage automation, analytics, and emerging technologies.
  • Working closely with the Cash Management Manager and cross-functional teams, this role will play a key part in optimizing liquidity execution, improving reporting and forecasting, strengthening controls, and supporting the cash management and treasury function as the organization continues to scale across multiple countries and banking partners.

Matching Summary

Match Score: 85

Remote is seeking a Senior Treasury Business Intelligence Analyst to enhance their Cash Management function. This fully remote role focuses on driving operational excellence through automation and data-driven decision-making, requiring a strong financial background and analytical skills.

Skills & Requirements

Must-have

  • Cash Management function
  • Operational excellence
  • Automation and AI capabilities
  • Data-driven decision-making
  • Financial background
  • Banking processes, cash flows
  • Leverage automation, analytics

Nice-to-have

  • Ambitious goals
  • High-impact solutions
  • Cross-functional collaboration
  • Data-driven storytelling
  • Simplify complex financial concepts

Key Requirements

  • Bachelor’s or Master’s degree
  • Finance, Economics, Data Science, Business Analytics
  • Relevant experience in Finance, Analytics
  • Corporate Treasury or Cash Management experience beneficial
  • Strong understanding of liquidity, cash flows
  • Thrive in high-pressure scenarios
  • Translate complex datasets into actionable insights
  • Improving or automating treasury or finance processes
  • Advanced Excel, BI tools, RPA solutions, Python
  • Proficient in English

Work Rights

Not specified

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