Andrii Grytsko
Treasury Analyst @Euronet
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WORK HISTORY
Treasury Analyst @Euronet
Leawood, KS, US
Forecast and monitor global free cash flow at corporate and subsidiary levels • Prepare and analyze monthly FX reports; manage quarterly letter of credit reporting • Support corporate insurance renewal process, including field data collection and invoice reconciliation • Ensure compliance with treasury-related internal controls, bank account policies, and procedures • Analyze bank fee structures to identify and drive cost-saving opportunities • Track and report on company share repurchase plans and letter of credit activity • Serve as backup for daily corporate cash positioning and cash flow template creation • Collaborate with global treasury teams on intercompany loan settlements and dividend execution • Contribute to ad hoc treasury projects and financial research initiatives
EDUCATION
The University of Kansas
Bachelor's degree
ABOUT ANDRII GRYTSKO
Goal-oriented and hardworking finance major with strong analytical, communication, and…
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