Similar Jobs
See allGlobal Treasurer
Dynata
Global
Risk Management
Banking
Compliance
Cash Manager
NIQ
US
MS Excel
SAP
Oracle
Senior Treasury Analyst
Branch
US
US GAAP
Excel
Sage Intacct
Treasury Manager
Kraken
Global
Accounting
Finance
Economics
Treasury Accountant
Chickasaw Nation Industries
US
Excel
Accounting
Finance
Responsibilities:
- Manage cash forecasting and liquidity.
- Own cash pooling and visibility.
- Lead cash forecast development.
Requirements:
- 7+ years’ treasury experience.
- Strong knowledge of banking and treasury management systems.
- Superior attention to detail.
Benefits:
- Comprehensive total rewards package.
- Flexible time-off policy.
- Paid parental leave.
Forward Financing
Forward Financing is a financial technology company based in Boston, Massachusetts. They aim to unlock capital for small businesses across America and are recognized as a Best Place to Work with a focus on long-term success.