Skills
About the Role
Novolex is seeking a Treasury Analyst to support the company’s cash and liquidity activities. This hybrid role is based in Charlotte, North Carolina, and will help ensure timely, accurate treasury operations that support business needs.
Responsibilities
- Assist with daily cash management activities and support liquidity planning
- Monitor cash positions and help reconcile treasury-related activity
- Support forecasting and reporting to provide visibility into cash requirements
- Help analyze and improve treasury processes to increase efficiency and accuracy
- Partner with cross-functional teams to support financial operations and information flow
Requirements
- Relevant experience in treasury, finance, accounting, or a related role
- Strong analytical skills with attention to detail
- Proficiency with financial reporting and spreadsheet tools
- Ability to work effectively in a fast-paced environment and meet deadlines
Benefits
- Hybrid work arrangement
- Opportunity to contribute to a sustainability-focused organization
- Collaborative team environment with growth potential