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Treasury & Cash Management Analyst

SUBARU

Camden, New Jersey, United States Full time July 02, 2026
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Vacancy Description

SUMMARY

Serves as a key member of the Treasury team responsible for supporting Subaru's daily cash management, liquidity planning, and treasury operations. This role monitors cash positions across Subaru and its subsidiaries, ensures the timely movement of funds, supports investment and borrowing activities, and provides financial analysis that helps maintain efficient working capital management.

MAJOR RESPONSIBILITIES

  • Maintains responsibility for the accumulation, monitoring, and reporting of cash working capital for Subaru of America (SOA), Subaru Acceptance Corporation (SAC), Subaru Leasing Corporation (SLC), and other subsidiary companies.
  • Maintains responsibility for opening new operating bank accounts and updating existing accounts as needed.
  • Reconciles and analyzes corporate bank accounts on a daily basis to ensure sufficient liquidity is available to meet anticipated operational funding requirements. Communicates potential liq...
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