Qualification and Skills:Bachelor's degree in Finance, Accounting, or a related field.0-1 year of experience in cash flow analysis or a related treasury role.Strong analytical and modeling skills.Proficiency in Microsoft Excel and financial modeling software.Excellent communication and presentation skills.Knowledge of accounting principles.Benefits Included:Competitive salary and benefits package.Opportunities for career growth in a fast-growing company.A dynamic and collaborative work environment.Health insurance and other employee benefits.A Day in the Life: Your day would be focused on analyzing cash flow data, building forecasting models, preparing reports, and working with other teams to ensure data accuracy and make insightful recommendations.