A Treasury Analyst is a finance professional who is responsible for managing the cash flow, credit, income, asset levels, and liability obligations of their organization. They also analyze and assess the company's financial data and performance, report on financial risk, recommend investment strategies, and make forecasts on market trends. In the dynamic environment of a startup, the role may encompass a variety of financial management tasks, from securing funding to managing investments and financial risk.
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Prepare for your Treasury Analyst interview with our sample interview questions and answers.
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