Job description
What role you will play in team: You'll be part of a team focused on efficient cash management and investment strategies.
What you will do: You will assist in the monitoring of cash flow, assisting senior analysts with reports and analysis.
Key responsibility:Assist in monitoring daily cash flow and balances.
Prepare and analyze reports on various treasury metrics.
Support the team in investment analysis and recommendations.
Maintain accurate records and documentation.
Assist with regulatory reporting requirements.
Participate in team meetings and projects.
Required Qualification and Skills:Bachelor's degree in finance, accounting, or economics.
Strong analytical and problem-solving abilities.
Proficiency in Microsoft Excel and financial modeling.
Excellent attention to detail and accuracy.
Excellent communication and teamwork skills.
Understanding of financial markets (preferred).
Benefits Included:Competitive salary and benefits package.
Opportunities for career growth and development.A collaborative and supportive work environment.
Robust training and mentorship programs.
Paid time off and holidays.A Day in the Life: Your day will consist of data analysis, report preparation, participation in team meetings, and continuous learning about treasury functions.