Offer summary
Qualifications:
Bachelor's Degree in Finance, Accounting, or Business, 7-10 years of experience, Knowledge of general treasury and forecasting, Strong financial modeling skills, Proficient with MS Office Suite, especially Excel.Key responsabilities:
- Forecast and analyze cash flow
- Monitor cash transactions and daily cash position
- Develop reporting capabilities for liquidity forecasting
- Extend support to other departments as needed
- Prepare presentation materials for stakeholders