Chevron is seeking an International Cash Repatriation Analyst to join Corporate Treasury's Corporate Finance & Insurance division. The role focuses on global liquidity optimization, tax-efficient repatriation of cash from international entities, and collaboration with Tax, Legal, and regional finance teams.
Hybrid work with four in-office days per week and remote Fridays; 9/80 schedule may apply. Opportunity to influence liquidity strategy and capital allocation across global markets.
#J-18808-LjbffrGlobal Cash Repatriation & Liquidity Analyst - Hybrid in northern at Unknown Company
This position is listed as full time and able to be worked remotely.