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Strategic Treasury & Cash Forecasting Analyst

Hoya

HOYA is seeking a Treasury & Cash Management Analyst in Lewisville, TX, to enhance cash flow visibility and working capital management. The role partners with Finance, FP&A, and operations to drive forecast accuracy and reporting enhancements. The ideal candidate will possess strong Excel modeling skills, a solid grasp of financial statement relationships, and a proactive mindset to improve treasury controls and processes. #J-18808-Ljbffr Hoya

Vacancy posted 2 days ago
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