Position Summary:
This is a mid-level role for someone interested in pursuing a career in Treasury Management. This role supports the Company's global cash operations through daily positioning, maintenance of bank accounts/platforms, management of user entitlements, cash flow forecasting and foreign currency trading. This position also provides support to the Company's global divisions for banking applications, working capital efficiencies and hedging foreign currency exposures.
Primary Functions and Essential Responsibilities:
Education / Certifications:
Experience Required:
Skills / Abilities:
Ø Possesses strong problem solving and analytical skills