About this role
ISS STOXX is seeking a Treasury Analyst/Associate to perform daily cash management activities, including reconciling cash balances and assisting in cash flow forecasting. The role involves working closely with finance leadership to maintain optimal cash positions and support the company's working capital needs.
Required Skills
- Excel
- Cash Management
- Forecasting
- Banking Platforms
- Financial Analysis
- Reconciliation
- Process Improvement
- SAP
- Time Management
- Analytical Skills
About ISS
issgovernance.comInstitutional Shareholder Services is the world’s leading provider of corporate governance and responsible investment solutions.
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