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Liquidity forecasting and cash management. Facilitate treasury and intercompany payments. Open/close accounts, manage and update bank mandates, and completing maintenance requirements for global bank account signatories. Complete documents for AML (Anti-Money Laundering) and KYC. Assist with reporting in relation to FBAR,...
About the Role
Job Description
Who You’ll Work With
Arista requires a treasury analyst to support our growing company’s treasury requirements.
The role requires a highly driven and detail-oriented, who can work closely in a collaborative role with the finance, HR and legal teams. The role involves not only managing the day to day operations, but also executing actions which will improve the performance of the business and resilience of its operations.
The role will provide varied treasury exposure within a global fast growing, publicly listed global technology company.
What You’ll Do
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