Vialto Partners is seeking a Treasury professional to manage cashflow forecasting and analytics across the Americas. You will oversee the 13-week cashflow tool, weekly updates, and longer-horizon forecasts, delivering insights to optimize liquidity and funding decisions.
The role requires 3–5 years in corporate treasury, strong Excel and SAP experience, and a track record of timely, accurate analysis. This contract-focused position offers a pathway to renewal with East Coast usage preferences.
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