Company Description
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Role Description
This is a full-time, on-site role for a Cash Management Analyst located in Claymont, DE. The Cash Management Analyst will be responsible for managing daily cash activities, including cash flow forecasting, maintaining cash flow reports, and overseeing bank account management. The role involves supporting treasury operations, analyzing financial data to optimize cash management strategies, and ensuring compliance with cash management regulations and internal policies. The Cash Management Analyst will work closely with finance teams to reconcile accounts, monitor transactions, and provide financial insights to improve operational efficiency.
Qualifications
• Treasury Management and Cash Management skills
• Experience in Cash Flow Forecasting and Financial Analysis
• Strong Analytical Skills for data interpretation and problem-solving
• Knowledge of finance principles and experience in financial operations
• Proficiency in using financial software and tools
• Attention to detail and ability to manage multiple tasks simultaneously
• At least a Bachelor's degree in Finance, Accounting, Business Administration, or a related field
• Relevant professional certifications (e.g., CTP, CFA) are a plus
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