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Global Treasury Analyst

Canonical Ltd.

Remote

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Canonical is looking for a remote Global Treasury Analyst to help manage cash, currency exposure, and banking risk across its international business. The role focuses on forecasting liquidity needs, modeling cash flow under different business conditions, and improving returns on cash while supporting the company’s use of multiple currencies and global payments. It works closely with senior leaders and teams in finance, accounting, legal, and external advisers, and may also involve equity plan administration. This position would suit a senior finance professional with experience in treasury, forecasting, and managing financial risk in a global environment.
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