Treasury Analyst - Capital Markets & Cash Strategy
Pepsi Bottling Group
PepsiCo in Purchase, NY, seeks a Finance Analyst to join the Treasury Capital Markets team. You will support the execution of the commercial paper program, invest cash, monitor share repurchases, and review hedging actions, contributing to timely close processes. Ideal candidates have 0–2 years in corporate treasury/finance, strong analytical skills, and proficiency in PowerPoint and Excel. CFA progress is a plus; growth and rotation opportunities exist within PepsiCo's Treasury group. #J-18808-Ljbffr Pepsico
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$144.6k - $265.1k
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...related to financial management and strategy. These individuals analyse... ...Those in corporate finance, treasury and commodities at PwC will specialise... ...financial needs, develop strategies for capital structure optimization, manage liquidity and cash flow, and provide guidance on...CashH1b$150k - $250k
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...forecasting, financial reporting, cash management, internal controls... ...and execute financial strategies that support operational goals... ...revenue, labor, expenses, and market performance to identify opportunities... ...annual operating budgets, capital plans, and long‑range...CashWork at officeLocal areaWorldwide- ...changing needs of a growing office and dynamic market. Will not have direct project financial... ..., contribution, profitability, and cash. Makes concrete recommendations based on... ...discovery and planning phases, including strategies for assessing #J-18808-Ljbffr HNTB CorporationCashContract workWork at office
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