Treasury Analyst - США Нью-Йорк
Уровень Английского:
Ниже среднего

Corporate Treasury for Fortune 100 company

The Treasury Operations Analyst will be responsible for various tasks that may include cash forecasting, intercompany loan portfolio, collateral management (eg. Letters of Credit portfolios “LC”), payment desk functions, quality control for Treasury transactions, bank fees analysis, security administration for banking systems and other ad-hoc projects as needed.  

Срок действия вакансии истек!