Related skills
tableau ai cash management liquidity management fxπ Description
- Lead global cash management and optimize liquidity across geographies.
- Prepare and deliver liquidity and yield reporting to management.
- Manage banking infrastructure and online banking systems.
- Support TMS implementation and ongoing optimization.
- Drive treasury processes with automation and AI-enabled solutions.
- Ensure adherence to treasury policies, financial controls, and SOX.
π― Requirements
- BA/BS in Business Admin, Accounting, Finance, or Economics; MBA/CTP/CPA/CFA preferred.
- 3+ years in treasury experience.
- Experience with insurance programs, banking ops, and FX a plus.
- Tableau experience is a big plus.
- Strong analytical and problem-solving skills; able to plan and execute.
- Excellent communication and ability to lead through influence.
π Benefits
- PinFlex hybrid model with in-office collaboration.
- Equity offered.
- Base salary range disclosed.
- Travel and expenses covered for non-local employees.
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