A treasury specialist is responsible for daily currency levels for business units or corporate departments and safeguards that such levels are suitable, based on the companys operational needs. A treasury specialist also assesses internal processes and work flows within a division and suggests improvements, if needed. A treasury specialist makes sure that a company is properly accounting for and recording cash trades in agreement with generally recognized accounting guidelines.
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Category: Banking, insurance and financial services
Psychical difficulty: ★★★★☆
Physical difficulty: ★★☆☆☆
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