Sr. Treasury Analyst A global multi-billion client in Chicago is looking to add a Sr. Treasury Analyst to the team. This will be a hybrid role and responsible for treasury operations. Responsibilities:The responsibilities range from performing day-to-day cash management functions to processing bank administration requests from all divisions of the companyManaging daily cash flow, forecasting and reporting, risk management, and supporting the development of treasury policies and proceduresTroubleshooting and providing solutions to problems or errors that show up when performing the daily cash positioning If interested, please apply directly or email an updated resume to with subject line "Sr. Treasury Analyst"