Canonical is seeking a General Treasury Analyst to optimize cash returns and manage bank credit risk. The role includes forecasting liquidity requirements and modeling cash flows across multiple currencies. Candidates should have a degree in finance and relevant treasury experience.
This position will report to the CFO and provides a distributed work environment with opportunities for travel and personal development.
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📌 Global Treasury Analyst: Cash & FX Strategy Leader (Colombia)
🏢 Canonical
📍 Colombia
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