This list contains only the countries for which job offers have been published in the selected language (e.g., in the French version, only job offers written in French are displayed, and in the English version, only those in English).
A growing organization is seeking a Treasury Specialist to support daily treasury operations and cash management activities. This is a contract role working closely with finance and cross-functional teams in a fast-paced environment.
Job Responsibility
Monitor daily cash balances and manage overall cash position
Execute cash transactions including wires, ACH, and funding activities
Maintain short-term cash forecasts to anticipate liquidity needs
Partner with Accounts Payable to ensure timely and accurate payments
Support debt-related activities including documentation and compliance tracking
Track and reconcile financing activity across various funding sources
Assist in preparing monthly reporting related to cash, debt, and investments
Support audits through proper documentation of treasury activities
Perform bank account management, including opening accounts and resolving payment issues
Identify and implement process improvements within treasury operations
Requirements
3+ years of treasury, cash management, or finance experience
Strong understanding of cash flow, banking transactions, and financial reporting
Experience with bank portals and financial systems
Advanced Excel skills and overall Microsoft Office proficiency
Strong analytical, problem-solving, and organizational skills
Ability to communicate effectively across teams
Detail-oriented with the ability to manage multiple priorities in a dynamic environment
What we offer
Medical, vision, dental, and life and disability insurance