Cash Management - Treasury Senior Analyst
View Job
- Company American International Group, Inc. - View more jobs
- SalaryCompetitive
- LocationDublin, Ireland
- Job TypePermanent
About the role What you need to know: In this role you will be responsible for Cash Management Treasury activities which include positioning, forecasting, funding, cash management and variance analysis Optimization of cash pooling processes and yield on short term cash available for investment while managing daily cash positioning and forecasting in the respective region, ensuring adequate liquidity is available to meet the business wide needs Conduct forecast variance analysis by partnering with individuals in the various business units and departments throughout the organization Maintain good...
16 days ago from: eFinancialCareers.ie
View JobRefine your search
- Filter by Job Title
- Business Analyst (14)
- Financial Analyst (9)
- Qc Analyst (9)
- Data Analyst (7)
- Senior Business Analyst (5)
Related Job Offers
Business Analyst - Senior Consultant
OCC Computer Personnel - Dublin
You’ll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture, and technology to...
Business Analyst - Assistant Manager
OCC Computer Personnel - Dublin
You’ll have the chance to build a career as unique as you are, with the global scale, support, inclusive culture, and technology to...
Senior Data Analyst
Valeo Foods UK - Dublin, Dublin City
At Valeo Foods Group, we’re not just about food – we’re about fueling growth, driving transformation, and shaping the future of our...
Senior Business Analyst Limerick Contract
Adecco - Limerick
Senior Business Analyst Limerick Contract 12 Months . My client a leading global name in their global market is in urgent need of a...
SAP Test Analyst
e-Frontiers - Dublin
We are seeking talented EWM Test Consultants with a proven track record in SAP EWM & EWM Warehouse solution delivery. The EWM Test...