← Back to opportunities
About the Role
JSS is looking for a Treasury Analyst to manage global liquidity and daily cash operations. The role involves optimizing the cash pool, driving cash positioning, and executing foreign exchange. You will serve as the central connection for Treasury operations across regions, ensuring seamless funding.
The ideal candidate will have 1-3 years of corporate treasury experience, strong communication skills, and a degree in Finance or a related field. Responsibilities include managing cash forecasts and driving best practices in cash management.
#J-18808-LjbffrReady to Join Through a Referral?
Apply now and get connected directly with the hiring team
Apply for this Position