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Stiles Machinery seeks a Treasury Analyst to manage a broad range of treasury activities including month-end close, reconciliations, and journal entries. The role supports data reporting to our international parent company and handles hedging and foreign currency exposure.
You will coordinate with banks on cash management, intercompany transactions, and cash forecasting while ensuring accuracy across balance sheet accounts. Strong Excel and SAP knowledge is preferred.
This position is responsible for a wide variety of tasks and functions related to treasury activities.
Equal Opportunity Employer
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