Descripción de la oferta
A leading open-source software provider is seeking a Treasury Analyst to manage global liquidity and oversee cash management. This remote role involves maintaining banking controls, monitoring liquidity, and supporting FX risk strategies. The ideal candidate will have proficiency in financial modeling, experience managing funds in multiple currencies, and exemplary communication skills. Canonical offers a performance-driven bonus, a personal learning budget, and a commitment to a diverse and inclusive workplace.
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