The Treasury Analyst supports day‑to‑day treasury operations, with a focus on cash flow forecasting, foreign exchange exposure monitoring, and working capital activities. This role partners closely with finance, operations, and banking partners to ensure effective liquidity and financial risk management.
Our client is a global commodity trading company operating in international markets with significant exposure to multi‑currency cash flows, trade finance, and working capital management. The business operates in a fast‑paced, execution‑driven environment where treasury plays a critical role in supporting liquidity and financial risk management.
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