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Company Description
Arista Networks is an industry leader in data-driven, client-to-cloud networking for large data center, campus and routing environments. Arista is a well-established and profitable company with over $9 billion in revenue. Arista's award-winning platforms, ranging in Ethernet speeds up to 800G bits per second, redefine scalability, agility, and resilience. Arista is a founding member of the Ultra Ethernet consortium. We have shipped over 20 million cloud networking ports worldwide with CloudVision and EOS, an advanced network operating system. Arista is committed to open standards, and its products are available worldwide directly and through partners.
At Arista, we value the diversity of thought and perspectives each employee brings. We believe fostering an inclusive environment where individuals from various backgrounds and experiences feel welcome is essential for driving creativity and innovation.
Our commitment to excellence has earned us several prestigious awards, such as the Great Place to Work Survey for Best Engineering Team and Best Company for Diversity, Compensation, and Work-Life Balance. At Arista, we take pride in our track record of success and strive to maintain the highest quality and performance standards in everything we do.
Job Description
Who You'll Work With
Arista requires a treasury analyst to support our growing company's treasury requirements.
The role requires a highly driven and detail-oriented, who can work closely in a collaborative role with the finance, HR and legal teams. The role involves not only managing the day to day operations, but also executing actions which will improve the performance of the business and resilience of its operations.
The role will provide varied treasury exposure within a global fast growing, publicly listed global technology company.
What You'll Do
Qualifications
Job ID: 148327459
Skills:
Alteryx, Power Bi, Netsuite, Excel, GTreasury, cash forecasting, Cash Management, financial analysis, FX risk, treasury management systems, Quantum, Kyriba
Skills:
Cash Management, Banking transaction process, Data preparation for audit, Financial Process
Skills:
Excel, Office365, cash forecasting, Cash Management, bank account administration, FX Management, IS collaboration and communication tools, CSS workflow tool
Skills:
Internal Audit, Funding, treasury finance risk, liability management, Capital Management, treasury risk management
Skills:
Liquidity planning, Treasury Payment RTR operations, Compliance with internal policies, Cost Optimization
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