Senior Treasury Analyst - Hybrid, Cash & Liquidity Leader

Apogee Enterprises

Minneapolis, MN

JOB DETAILS
SKILLS
Analysis Skills, Bank Management, Banking Services, Cash Flow, Cash Management, Finance, Forecasting, Liquidity, Process Improvement, Treasury
LOCATION
Minneapolis, MN
POSTED
2 days ago

Apogee Enterprises Inc. is seeking a Sr. Treasury Analyst to manage liquidity, cash flow and treasury controls in a hybrid role based at Bloomington, MN.You will support daily cash management, bank governance, reporting and process improvement. Responsibilities include optimizing cash, executing wire transfers and FX as needed, maintaining forecasts, and collaborating with finance and banking partners. The role offers a competitive salary of $100,000–$110,000 with an annual bonus opportunity#J-18808-Ljbffr

About the Company

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Apogee Enterprises