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python machine learning ai excel power biπ Description
- Drive automation across global cash management and treasury ops.
- Own end-to-end reconciliations, reporting, cash positioning, and controls.
- Use AI, Python, and RPA to replace manual workflows and improve accuracy.
- Collaborate with Cash Management Manager and cross-functional teams to scale.
- Set ambitious goals and translate data into actionable insights.
π― Requirements
- Bachelor's or Master's in Finance, Economics, Data Science, or related.
- Finance/Analytics experience; treasury or cash management beneficial.
- Strong understanding of liquidity, cash flows in multi-entity environment.
- Experience automating treasury processes with Excel, BI tools, RPA, Python.
- English proficiency; cross-functional collaboration.
- Ability to work under pressure and meet deadlines.
π Benefits
- Work from anywhere.
- Flexible paid time off.
- Flexible hours with async work.
- 16 weeks paid parental leave.
- Mental health support services.
- Stock options and learning budget.
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