Sr. Treasury Analyst
A global multi-billion client in Chicago is looking to add a Sr. Treasury Analyst to the team. This will be a hybrid role and responsible for treasury operations.
Responsibilities:
- The responsibilities range from performing day-to-day cash management functions to processing bank administration requests from all divisions of the company
- Managing daily cash flow, forecasting and reporting, risk management, and supporting the development of treasury policies and procedures
- Troubleshooting and providing solutions to problems or errors that show up when performing the daily cash positioning
If interested, please apply directly or email an updated resume to douglas.han@LHH.com with subject line "Sr. Treasury Analyst"