An International industry-leader in the North Atlanta area in seeks a talented Treasury Analyst to join their team.
Responsibilities:
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Treasury analysis for domestic and international offices
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Prepare daily/period cash calculations and reporting
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Identify opportunities to improve existing processes through automation and increased internal controls
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Prepare wire transfers and supporting documentation for Corporate Accounting
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Help implement money market and foreign exchange portals
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Assist with management of corporate bank accounts
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Foreign currency analysis
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Special projects for the treasury and finance groups