Senior Analyst, Treasury & Risk Analytics

No longer listed
Oyster
SpainPosted May 27, 2026
Pasar al contenido principal Senior Analyst, Treasury & Risk Analytics Oyster® España Solicitar Únete o inicia sesión para encontrar tu siguiente empleo Solicitar empleo de Senior Analyst, Treasury & Risk Analytics en Oyster® Email o teléfono Contraseña Mostrar ¿Has olvidado tu contraseña? Iniciar sesión Iniciar sesión con el email o ¿Estás empezando a usar LinkedIn? Únete ahora Al hacer clic en «Continuar» para unirte o iniciar sesión, aceptas las Condiciones de uso, la Política de privacidad y la Política de cookies de LinkedIn. Senior Analyst, Treasury & Risk Analytics Oyster® España Hace 1 mes Más de 200 solicitudes Descubre a quién ha contratado Oyster® para este puesto Solicitar Únete o inicia sesión para encontrar tu siguiente empleo Solicitar empleo de Senior Analyst, Treasury & Risk Analytics en Oyster® Email o teléfono Contraseña Mostrar ¿Has olvidado tu contraseña? Iniciar sesión Iniciar sesión con el email o ¿Estás empezando a usar LinkedIn? Únete ahora Al hacer clic en «Continuar» para unirte o iniciar sesión, aceptas las Condiciones de uso, la Política de privacidad y la Política de cookies de LinkedIn. Guardar Denunciar este empleo The RoleLocation: While this position is posted in a specific location, all of Oyster’s positions are fully remote, and you can work from home, forever. To ensure optimal collaboration, this role requires you to be based within +5/-5 UTC.As a Senior Analyst, Treasury & Risk Analytics, you will improve visibility into cash, working capital, and financial risk across the business. You will transform complex financial and operational data into clear, actionable insights that enable faster, better decision-making across the Treasury, Risk, Payments, and Product teams.This role sits at the intersection of Treasury and Data Analytics, combining financial analysis, forecasting, and business intelligence to strengthen cash flow visibility, improve forecasting accuracy, and enhance risk controls at scale.You will work across ERP systems, banking platforms, and internal data sources to develop dashboards, improve forecasting models, and provide insights that directly inform leadership decisions. You will also contribute to automation and AI-enabled improvements in reporting, reconciliation, and forecasting workflows.Key Responsibilities1. Cash & Financial AnalyticsAnalyze cash flow movements, working capital trends, and liquidity drivers.Identify patterns, anomalies, and emerging risks across billing, collections, and payments.Translate financial and operational data into actionable insights for decision-making.2. Cash Flow Forecasting & ModelingBuild and maintain short-term and long-term cash flow forecasts.Improve forecasting accuracy through data-driven analysis and scenario modeling.Partner with Treasury...

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