Supported all aspects of corporate treasury operations for a large publicly traded energy company, including liquidity management, cash forecasting, banking relationships, treasury systems, payment operations, and internal controls. Managed daily cash positioning, supported commercial paper and investment activities, coordinated global banking operations, administered Letters of Credit, and contributed to major treasury initiatives including treasury system implementations, banking integrations, and enterprise banking transitions. Extensive experience with treasury controls, SOX compliance, bank account management, and cross-functional problem solving.