Manage the present and future cash needs of the business operations unit.
Proactively use quantitative analysis toolsto ensure a good management of liquidity risk.
Develop and improve global daily, weekly, monthly cash reports.
Contribute to driving liquidity solutions which provide scalable funding mechanisms.
Ad hoc projects/analysis.
At least 1 years of liquidity/treasury analysis.
At least 2-4 years experience dealing with large volumes of data
Amazing SQL skills
Experience with Python or R
Experience with some BI tools and data visualization
Experience ML frameworks is a plus
Great written communication
Experience with business and financial analytics is a big plus
Fluent in English
Your daily duties will have a meaningful impact on millions of people all over the world.
You’ll be surrounded by the most friendly, supportive colleagues you can imagine.
We don’t care where you work from, as long as you get the job done!
As we grow, so will you! Bolt’s fast-paced, challenging environment offers you great opportunities for professional development.
You’ll always be kept informed. Our bi-weekly All Hands meetings bring our global teams together, ensuring we’re all up to speed and moving forward as one.
Switching off is important! We have fridges full of refreshments, sports compensation, table tennis, Playstation and loads more...
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NB! Tegemist on avaliku päringuga. Küsimused-Vastused on nähtavad kõikidele CV Keskuse kasutajatele ja võivad olla leitavad otsingumootorite kaudu.
Lisame kirja lõppu automaatselt lingi tööpakkumisele.