Flexible Work, Better Balance
The Finance Associate Manager – Liquidity Planning is responsible for overseeing the organization's short-term cash flow and liquidity requirements to ensure timely funding of operational and financial obligations. The role focuses on optimizing cash utilization, maintaining adequate liquidity levels, and supporting treasury operations through accurate forecasting, fund management, and financial analysis. This position also plays a key role in strengthening cash management processes and ensuring compliance with treasury controls and banking requirements.