About this role
Treasury Analyst at Naviga Inc.. Location: United States. Role: Manage banking, Forecast cash, Prepare payments Requirements: Treasury operations, cash forecasting, reporting, accounting controls; strong Excel skills; experience in software/SaaS and G/L systems. Category: Finance and Accounting Seniority: Mid Level Tools: Excel, Pivot Tables, Intacct, Microsoft Office Suite, General Ledger Software Commitment: Full Time Workplace: Remote Languages: English