Treasury Specialist
A company is looking for a Treasury Specialist to support global treasury operations.
Key Responsibilities
Manage and reconcile daily banking transactions across multiple international banks and entities
Support intercompany fund transfers and settlements, including managing FX conversions and cross-border payments
Prepare timely and accurate bank reconciliations and cash flow reports
Required Qualifications
5+ years of accounting and treasury experience, including managing cross-border banking operations
Strong experience with multi-bank, multi-currency environments in a distributed organization
Strong analytical and reporting skills; advanced Excel proficiency
Experience with ERP systems, with NetSuite experience being a strong asset
Ability to work independently in a remote and dynamic environment
A company is looking for a Treasury Specialist to support global treasury operations.
Key Responsibilities
Manage and reconcile daily banking transactions across multiple international banks and entities
Support intercompany fund transfers and settlements, including managing FX conversions and cross-border payments
Prepare timely and accurate bank reconciliations and cash flow reports
Required Qualifications
5+ years of accounting and treasury experience, including managing cross-border banking operations
Strong experience with multi-bank, multi-currency environments in a distributed organization
Strong analytical and reporting skills; advanced Excel proficiency
Experience with ERP systems, with NetSuite experience being a strong asset
Ability to work independently in a remote and dynamic environment