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Placements24 is seeking a meticulous Remote Treasury Analyst to join our finance team. You will manage daily cash operations, forecast liquidity, and assist in debt financing and investments from a remote location, contributing to liquidity management and risk oversight.
The role requires strong Excel skills, TMS proficiency, and a solid understanding of financial markets. You will collaborate with a remote team while supporting corporate finance objectives and regulatory compliance.
Our client is seeking a meticulous and proactive Remote Treasury Analyst to join their finance operations. This role is essential for managing the company's liquidity, cash flow, and financial risk exposures from a remote location. You will be responsible for daily cash management, forecasting, debt management, and investment activities, ensuring the financial health and stability of the organization. This is an excellent opportunity for an analytical professional to contribute to critical financial functions within the Banking & Finance sector, providing vital support to business operations across all locations.