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Easton Select Group is seeking a Treasury Analyst to manage daily cash positioning, forecast a rolling 13-week cash flow, and report liquidity metrics. The role includes building dashboards, automating cash processes, and overseeing collections while supporting FP&A on projects.
The ideal candidate holds a Bachelor’s degree in finance or accounting with 3–5 years of treasury experience and strong Excel skills; experience with NetSuite or similar ERP is preferred.
At Easton Select Group, we are committed to creating a workplace where every individual’s skill and potential are valued. Rooted in the principles of merit, openness, and inclusivity, we strive to ensure access to opportunities for everyone. This role embodies these ideals, offering a chance to grow, lead, and make an impact through your unique expertise and abilities.
Join us and be part of a mission-driven team that prioritizes innovation, collaboration, and continuous development.