Flexible Work, Better Balance
Prepare and maintain accurate short‑and‑long‑term cash flow forecasts across all business units. Monitor daily cash positions to ensure sufficient liquidity and working capital. Align cash flow projections with operational and financial planning.
Act as the primary liaison with local banking partners for all operational and strategic matters. Negotiate and manage banking facilities, service terms, and fee structures. Ensure full compliance with banking covenants and regulatory requirements.
Manage all aspects of cash operations, including local bank account administration and intercompany fund transfers. Implement cash pooling or liquidity structures where applicable. Ensure controls and risk mitigation strategies are in place across treasury functions.
Ove...