An application made for this job — a tailored resume and cover letter that speak straight to the posting.
Investigo is recruiting a Treasury Senior Analyst to own daily cash management and banking operations across multiple entities, ensuring strong cash visibility and robust controls. You will contribute to short-term cash forecasting and funding activities within a multi-currency environment.
You will manage a rolling 13-week cash flow forecast, reconcile positions, and support process improvements while working with various banking platforms.
A large, multi-site business is seeking an experienced Treasury Senior Analyst to take ownership of daily cash management and banking operations while supporting short-term cash forecasting and funding activities. This role plays a key part in ensuring strong cash visibility, robust financial controls, and effective treasury operations across multiple entities and banking platforms.