Senior Treasury Analyst at INSPYR Solutions
Interview Preparation Plan
This role is responsible for supporting the treasury department's daily operations, including cash management, bank reconciliations, and financial analysis. The Senior Treasury Analyst will play a key part in forecasting cash flow, managing financial risks, and optimizing the company's liquidity. This position requires a strong understanding of financial markets, corporate finance principles, and treasury best practices.
Key Responsibilities
- Manage daily cash operations and ensure accurate cash positioning.
- Develop and maintain cash flow forecasts (short-term and long-term).
- Analyze financial data to identify trends and provide recommendations for cash optimization.
- Support the management of banking relationships and analyze bank fees.
- Assist in the development and implementation of treasury policies and procedures.
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