Core Responsibilities

Support the development of cash flow forecasting models and track liquidity and profitability KPIs. Help automate treasury workflows and build dashboards to support agile financial operations.

Requirements

Candidates should have experience in Treasury, ALM, or Corporate Finance, along with solid SQL and spreadsheet modeling skills. A good understanding of liquidity and capital management is essential, as well as strong communication skills.

Additional Information

Experience Level

2-5

Job Language

English

Work Mode

On-site