As a Treasury Analyst, you’ll gain hands-on exposure to global cash management, banking, forecasting, and treasury systems while partnering with teams across regions and functions
Job Summary
As a Treasury Analyst, you’ll gain hands-on exposure to global cash management, banking, forecasting, and treasury systems while partnering with teams across regions and functions.
This role will support treasury activities across EMEA and APAC and partner closely with teams in Accounting, Tax, AP, AR, Payroll, and Legal.
The position offers meaningful responsibility, exposure to senior stakeholders, and strong opportunities for professional growth within treasury.
Matching Summary
As a Treasury Analyst, you’ll gain hands-on exposure to global cash management, banking, forecasting, and treasury systems while partnering with teams across regions and functions.
Skills & Requirements
Must-have
Global cash management
Liquidity management
Intercompany funding
Bank account maintenance
Cash forecasting models
Treasury reporting and analysis
Nice-to-have
Collaborative, globally integrated function
Forward-looking analytics and technology
Proactive, problem-solving approach
Team-oriented mindset
Key Requirements
1-3 years of experience
Bachelor’s degree in Accounting, Finance, Economics, or related field