Workday is seeking a Treasury Manager to join our Corporate Treasury team. This dual‑focus role combines Investment Management with Cash Flow Forecasting to ensure liquidity and maximize returns.
You will act as a key architect of global cash visibility, partnering with operations to align liquidity with projected needs. The role requires 5+ years in Corporate Treasury and advanced financial modeling, with Workday experience a plus.
#J-18808-LjbffrTreasury Manager: Investment & Cash Forecasting in atlanta at Unknown Company
This position is listed as full time and onsite.