Newmont Perú
Treasury Analyst - Cash Forecasting & FX (Hybrid, Lima)
Job Description
Newmont Perú is seeking a candidate for a treasury operations role based in Lima, requiring expertise in cash and liquidity management. This hybrid position involves processing bank transactions, preparing reports, and ensuring compliance with regulations.
The ideal applicant holds a Bachelor’s degree in Finance or Accounting and possesses strong analytical and problem-solving skills, as well as proficiency in software applications such as Excel and Treasury Management software.
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