Liquidity & Cash Management Analyst
Green Brick Partners
Green Brick Partners is seeking a Treasury Analyst to support daily liquidity, cash management, and corporate finance activities. The role collaborates with banking partners, builds cash forecasts, and strengthens controls within the Treasury function. You will help optimize working capital and participate in capital market initiatives. The ideal candidate has 1–3 years in Treasury or Corporate Finance, a Finance/Accounting/Economics background, and strong Excel skills. #J-18808-Ljbffr Green Brick Partners
Vacancy posted 3 days ago
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