Jeremy Jacquez
About Jeremy Jacquez
Jeremy Jacquez is a Treasury Analyst at The Standard in Portland, Oregon, where he has worked since 2018. He has over 13 years of experience in financial roles at The Standard, including positions as a Financial Analyst and DC Analyst.
Current Role as Treasury Analyst
Jeremy Jacquez currently serves as a Treasury Analyst at The Standard, a position he has held since 2018. In this role, he is responsible for managing the company's treasury functions, which include cash management, liquidity analysis, and financial forecasting. His expertise in financial analysis supports the organization's strategic financial planning and risk management efforts. He is based in Portland, Oregon.
Previous Experience at The Standard
Jeremy Jacquez has a substantial history with The Standard, having worked in various analytical roles since 2005. He began his tenure as a DC Analyst from 2005 to 2013, where he focused on defined contribution plans and financial reporting. Following this, he transitioned to the role of Financial Analyst from 2013 to 2018, where he provided insights and analysis to support financial decision-making. His cumulative experience at The Standard spans over 13 years.
Education and Expertise
Jeremy Jacquez earned his Bachelor of Science in Finance from Portland State University - School of Business. His studies spanned from 2011 to 2014, equipping him with a solid foundation in financial principles and practices. This educational background supports his analytical skills and enhances his contributions to financial management and analysis in his current role.
Professional Background
Jeremy Jacquez has built a career in finance and analysis, primarily at The Standard. His roles have included responsibilities that require a deep understanding of financial systems and analytical methodologies. His experience in both defined contribution analysis and broader financial analysis has contributed to his current role as a Treasury Analyst, where he applies his knowledge to optimize the company's financial resources.