Financial Operations Manager
4 weeks ago
A leading firm in the energy industry is seeking an experienced Interim Treasury Manager to provide post-acquisition support. The ideal candidate will have a strong background in corporate cash management, risk and compliance, and GAAP reporting. The role requires a flexible hybrid schedule, with 1-2 days of work per week. If you have a Bachelor's degree and 10+ years of experience in corporate cash management, we encourage you to apply with an updated resume.
Key Responsibilities:
- Assist with post-acquisition support
- Provide financial operations expertise
- Collaborate with cross-functional teams
Requirements:
- Bachelor's degree
- 10+ years of corporate cash management experience
- Risk and compliance background
- Solid foundation in GAAP reporting
What We Offer:
- Flexible hybrid schedule
- Opportunity to work with a leading firm in the energy industry
- Collaborative and dynamic work environment
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