First American
Remote Senior Treasury Analyst: Cash Forecasting & Controls
First American, Fort Mill, South Carolina, United States, 29715
A leading financial services company seeks a Sr. Treasury Analyst to manage daily cash and liquidity operations. Your role involves forecasting cash flow, generating month-end reports, and managing treasury processes. Candidates should hold a degree in Accounting or Finance and have over 5 years of relevant experience, particularly in Mortgage Servicing. Ideal applicants will possess advanced Excel skills, strong analytical capabilities, and attention to detail, contributing to the company's commitment to superior service and support.
#J-18808-Ljbffr