Remote is seeking a Senior Treasury Business Intelligence Analyst to enhance their Cash Management function. The ideal candidate should possess a strong financial background with analytical skills to drive operational excellence and automation in global treasury activities
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.
Key responsibilities include driving the execution and automation of back-office treasury functions, implementing advanced analytical tools for liquidity management, and utilizing innovative cash forecasting techniques.
Matching Summary
Match Score: 85
Remote is seeking a Senior Treasury Business Intelligence Analyst to enhance their Cash Management function. The ideal candidate should possess a strong financial background with analytical skills to drive operational excellence and automation in global treasury activities.
Skills & Requirements
Must-have
Cash Management automation
Liquidity forecasting and management
Data-driven decision-making
Treasury operations optimization
RPA, AI, Python
Cross-functional collaboration
Nice-to-have
Ambitious goals and high performance
Proactive problem-solving
Emerging technologies adoption
Data-driven storytelling
Simplify complex financial concepts
Key Requirements
Bachelor’s or Master’s degree
Finance, Economics, Data Science, Business Analytics
Proven experience improving or automating treasury or finance processes