Treasury Analyst: LCs, SBLCs & Cash Operations
Flowserve • santiago de querétaro, Mexico
Role Description
A leading industrial company is looking for a Corporate Treasury Analyst to support the Cash & Bank Manager with treasury responsibilities. Key tasks include working with banks for standby letters of credit, reviewing sales contracts, and maintaining records of issued instruments. The ideal candidate has a BS or BA degree and 3-5 years of experience in a similar role, with strong communication skills and proficiency in Microsoft Excel.
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