Senior Treasury Analyst: Cash Flow, Liquidity & FX
Internova
Internova, located in New York, NY, is seeking a Senior Treasury Analyst to manage liquidity and cash forecasting in the Corporate Treasury department. The role focuses on cash positioning and works within a hybrid schedule. This position offers a clear path for career advancement, engaging with senior finance leadership and contributing to treasury initiatives. Candidates should have a Bachelor's degree in Finance and at least 5 years of experience in treasury or corporate finance. #J-18808-Ljbffr Internova
Vacancy posted more than 2 months ago
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