Description
The Finance Team supports and empowers Palantirians through day-to-day operations and creative problem-solving. The Treasury Analyst is responsible for managing global cash operations, banking partnerships, and cross-functional treasury analysis.
Key responsibilities include preparing weekly cash position reports, coordinating intercompany fundings, initiating and processing manual payments, identifying and implementing process improvements, performing intercompany settlements and FX trades, administering online banking systems, managing authorized signatories, assisting with bank account openings and closures, completing audit tasks, serving as a treasury liaison, addressing internal and external inquiries, supporting Letter of Credit and Bank Guarantee projects, and preparing management reporting.
An analytical mindset, ability to work independently and as part of a team, strong project management and leadership skills, and sound judgment and composure in high-pressure situations are essential for this role.
The estimated salary range for this position is $85,000 - $120,000/year, with total compensation including Restricted Stock units, sign-on bonus, and other potential future incentives.