Job Title: Global Treasury Senior Analyst, Cash Forecasting
A dynamic opportunity has arisen for a seasoned finance professional to join our organization as a Senior Finance Analyst.
This role is part of the global treasury team responsible for managing daily cash flows across EMEA and ASPAC regions. The successful candidate will be instrumental in forecasting cash needs, supporting corporate initiatives, and ensuring adherence to financial policies.
Requirements:
* Bachelor's degree in accounting or finance;
* 5-7 years of experience in treasury with strong analytical skills;
* Proficiency in excel software applications;
,