Treasury Analyst
Farmington Hills, MI · On-site
Prepare short- and medium-term cash flow forecasts by analyzing operating activities, financing requirements, and surplus funds. * Support loan and funding activities by analyzing funding needs and ...
Farmington Hills, MI · On-site
Prepare short- and medium-term cash flow forecasts by analyzing operating activities, financing requirements, and surplus funds. * Support loan and funding activities by analyzing funding needs and ...
Farmington Hills, MI · On-site
Prepare short- and medium-term cash flow forecasts by analyzing operating activities, financing requirements, and surplus funds. * Support loan and funding activities by analyzing funding needs and ...
Detroit, MI · On-site
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
Detroit, MI · On-site
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
New
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
New
Detroit, MI · On-site
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
Detroit, MI · On-site
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
New
Quick apply
Build and maintain financial models to predict short- and long-term funding requirements. * Design ... Invest surplus cash balances and oversee corporate capital structures or debt agreements. * Prepare ...
New
Southfield, MI · On-site
Multi-Entity & Project-Based Accounting 9. Manage accounting for HUD-funded properties, LIHTC ... monitoring, and surplus cash transfers for HUD and tax credit sites. 14. Provide financial ...
Southfield, MI · On-site
Multi-Entity & Project-Based Accounting 9. Manage accounting for HUD-funded properties, LIHTC ... monitoring, and surplus cash transfers for HUD and tax credit sites. 14. Provide financial ...
Multi-Entity & Project-Based Accounting 9. Manage accounting for HUD-funded properties, LIHTC ... monitoring, and surplus cash transfers for HUD and tax credit sites. 14. Provide financial ...
Multi-Entity & Project-Based Accounting 9. Manage accounting for HUD-funded properties, LIHTC ... monitoring, and surplus cash transfers for HUD and tax credit sites. 14. Provide financial ...
Southfield, MI · On-site
Manage accounting for HUD-funded properties, LIHTC partnerships, bond-financed projects ... surplus cash transfers for HUD and tax credit sites.14. Provide financial oversight of payroll ...
Southfield, MI · On-site
Manage accounting for HUD-funded properties, LIHTC partnerships, bond-financed projects ... surplus cash transfers for HUD and tax credit sites.14. Provide financial oversight of payroll ...
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Full-time
This job post has expired today. Applications are no longer accepted.
7.4
Based on 33 frontline employees who took The Breakroom Quiz
291st of 494 rated machine equipment manufacturers
Your Contribution:
As a Treasury Analyst reporting to the Head of Treasury, you will Analyst supports the company's Treasury function by performing daily cash management activities, cash forecasting, FX risk analysis, and FX hedging activities for the North America Region. This role partners closely with internal stakeholders and external banking partners to ensure effective liquidity management, risk mitigation, and continuous improvement of treasury processes and systems.
Your Experience & Qualifications:
Our Offering:
We will provide a collaborative environment working on exciting assignments, along with ongoing personal & career development opportunities. We encourage you to apply even if you don't meet every single requirement. You may just be the right candidate for this or other roles! After receiving your online application, the interview process will typically be, a screening call followed by Personal Interview(s). For more information about MAHLE and what a career with us looks like for you, click here. and to learn more about our foundation owned technology group click here.
#DiversityMatters with our inclusive culture, we welcome applications from all social, religious & ethnical backgrounds, disabilities both mental and physical, identities (gender) and neurodivergent people.
MAHLE is not currently hiring individuals for this position who now or in the future require sponsorship for employment based non-immigrant and immigrant visas. However, as a global company, MAHLE offers many job opportunities outside of the U.S. which can be found through our employment website www.jobs.mahle.com
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