We are looking for someone who will support the CFO and controller in establishing and maintaining treasury best practices in accordance to the company’s business characteristics. Can champion change and implement processes and methodologies in global tax and treasury data needs and the company grow and evolve. Drive the evolution of the company’s treasury function based on market best practices. The candidate would be the company’s expert and go-to-person for all cash, banking, and liquidity activities associated with a multinational, multi entity with multiple subsidiaries.
The Treasury Analyst will:
Professional Skill Requirements:
Benefits & Perks