A financial services firm in Washington, DC/Baltimore is seeking a Junior Treasury Analyst to support treasury operations. The position involves cash flow forecasting, cash positioning, and reporting duties in a hybrid work environment. Ideal candidates should have 2-5 years of experience in treasury or corporate finance and strong proficiency in Excel. This role offers flexibility and the potential for permanent hire following an interim contract, with competitive compensation of $45-$60/hour.
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Hybrid Junior Treasury Analyst — Cash, Forecasting & Reporting in washington at Unknown Company
This position is listed as contract and hybrid.