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Senior Analyst, Treasury & Risk Analytics

EMEA🌐 Remote💼 Full-time🗓 2026-05-29 → 2026-07-30

Core

Transform complex financial and operational data into actionable insights to improve cash flow visibility, forecasting accuracy, and risk controls across Treasury, Risk, Payments, and Product teams.

Role type

Senior Analyst, Treasury & Risk Analytics

Builds

Dashboards, forecasting models, and automated reporting workflows for leadership decision-making

Domain

Fintech / Global Employment Platform / Financial Services

Deliverable

dashboards & analysis

Required skills

Cash flow mechanics, working capital drivers, financial statement analysis, advanced SQL, Excel/Google Sheets modeling, ERP systems, data reconciliation, scenario modeling, automation tools

Preferred skills

Python, APIs, AI tools for analytics

Responsibilities

Analyze cash flow movements and liquidity drivers; build and maintain short-term and long-term cash flow forecasts; reconcile financial data across ERP and banking systems; develop executive-ready dashboards on cash position and AR performance; analyze customer behavior to map financial exposure; identify opportunities to automate reporting and forecasting workflows

Seniority

Senior, hands-on IC

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