Master’s degree in Business Administration, Finance, Economics, Accounting, or related field of study and Three (3) years of experience as a Treasury Associate, Treasury Analyst, or related role. Three (3) years of experience with the following: Financial tools, including ROIC, NPV, and IRR; Corporate finance principles, including ability to perform balance sheet analysis, income statement analysis, cash flow statement analysis, and capital structure analysis; Application of basic accounting principles; Excel, modeling, and financial valuation skills; Performing financial analysis and utilizing analytical skills to optimize a range of inputs and scenarios to support effective decision making; Business writing; and Preparing various financial reports, analyses and presentations.