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Liquidity & Cash Management Analyst

HF Sinclair Corporation

HF Sinclair Corporation in Dallas, TX seeks a Treasury Analyst to manage daily liquidity, cash reporting, bank validations, and short-term borrowing and investing under supervision. You’ll use Kyriba and ERP data to forecast cash, validate vendor banking data, monitor KPIs, and support fraud prevention initiatives within the treasury team. Minimum 1 year in treasury or finance and a Bachelor's in Business/Finance/Economics required. #J-18808-Ljbffr HF Sinclair Corporation

Vacancy posted 1 day ago
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