LV Petroleum is seeking a Senior Analyst, Treasury to lead daily liquidity management, cash forecasting, and credit facility support in a fast-growing fuel retailer. You will collaborate with the Treasury Manager and interface with FP&A, Accounting, and Procurement to ensure liquidity and capital planning aligns with strategic goals.The role emphasizes hands-on cash positioning, 13‑week forecast planning, monitoring revolver and supplier terms, and adherence to covenants.#J-18808-Ljbffr