Cash Management Specialist, Treasury Management - AMS
Los Angeles
Workplace: OnsiteFull timeFunction: Finance & AccountingExperience: 5+ yearsSkills: ["Detail-oriented","Analytical","Problem-solving","Communication","Interpersonal skills"]Manage daily treasury and cash-management activities for outgoing and incoming cash transactions, ensuring accuracy, timeliness, and control across payments, funding arrangements, regulatory reporting, reconciliation, and monthly closing. Support internal treasury inquiries and assist with internal/external audit requests. Improve SOPs and the treasury management system, perform treasury-related analysis and research, and coordinate timely responses with the China HQ team.

