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Associate / Analyst, Finance and Treasury
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The role
The Associate Analyst / Analyst, Finance and Treasury will have a diverse set of responsibilities including cash forecasting, debt compliance, and treasury activities. It involves preparing weekly dashboards, forecast reconciliations, and month-end curves variance. It supports financial forecasting, asset modeling, and manual forecast entries, including intercompany eliminations and tax forecasts. The role contributes to FP&A deliverables such as CFO dashboards, budgets, and board materials. It requires building strong relationships with accounting, commercial, construction, and operations teams, as well as with banking partners. It operates independently with minimal supervision while managing multiple tasks in a fast-paced environment, offering broad exposure to foundational finance skills and growth opportunities.
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