p>Experience / Qualifications /Skills Required • 3-5 years of corporate treasury, treasury operations, or cash management experience • Bachelor's degree in Finance, Accounting, Economics, or related discipline • Hands-on experience with Kyriba or similar Treasury Management System preferred • Exposure to global banking platforms, cash pooling, and intercompany funding a plus • Strong analytical, systems, and communication skills • Ability to follow processes accurately, work independently, and escalate appropriately • Eagerness to learn, grow, and take on increasing responsibilities. Principal Accountabilities • Liquidity & Cash Management • Assist with daily cash positioning and liquidity reporting • Support short-term cash flow forecasting and funding requirements • Execute intercompany cash movements and loan settlements under guidance • Support administration of cash pooling and zero balance account (ZBA) structures.