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Treasury & Cash Management Analyst

Midwest Scrap Management

Midwest Scrap Management Inc. is seeking a Treasury Analyst to manage daily cash operations, liquidity forecasting, banking relationships, debt administration and treasury reporting. The role supports working capital optimization across operating yards, ensuring cash replenishment at facilities and ATMs. Responsibilities include recording daily cash transactions and maintaining internal controls. The position requires 2+ years in treasury/finance, strong analytical skills and Excel proficiency, #J-18808-Ljbffr Midwest Scrap Management

Vacancy posted 1 day ago
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