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We are looking for a Treasury Analyst to join our team in Spokane, Washington. In this role, you will oversee and optimize the company’s financial operations, focusing on cash flow and risk management. Collaborating with finance professionals, you will provide insights that support strategic decision-making and ensure effective treasury management.
Job Responsibility:
Handle corporate borrowing processes, including payments for principal amounts, commitment fees, letters of credit, and interest expenses
Conduct daily calculations for borrowing, repayments, and cash conversions to ensure sufficient cash availability for operational needs
Update cash flow forecasts regularly and develop financial models to improve reporting and analysis of cash and debt
Identify and address cash shortages or surpluses by monitoring established thresholds and escalating concerns as necessary
Collaborate with cross-departmental teams to support strategic growth initiatives and corporate development