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Navan is seeking a highly motivated Treasury Analyst to join our Finance team. The role supports domestic and international cash management, banking operations, treasury compliance, financial controls, and foreign exchange activities.
The position is based in Navan's Palo Alto, San Francisco, or New York office and reports to the Treasury Manager. You will manage bank accounts, back-office treasury tasks, cash forecasting, FX hedging, and treasury reporting to strengthen liquidity and controls.
Navan is seeking a highly motivated Treasury Analyst to join our Finance team. The role supports domestic and international cash management, banking operations, treasury compliance, financial controls, and foreign exchange activities.
The position is based in Navan's Palo Alto, San Francisco, or New York office and reports to the Treasury Manager. You will manage bank accounts, back-office treasury tasks, cash forecasting, FX hedging, and treasury reporting to strengthen liquidity and controls.