Position Responsibilities
- Manageintercompany cash flows and coordinate short term funding across business units.
- Consolidate cash flow forecasts in collaboration with subsidiaries and internal stakeholders.
- Prepare treasury reports including cash flow forecasts, bank balances and debt schedules.
- Manage bank mandate for account opening or closure and maintenance of authorized signatories.
- Monitor compliance with loan covenants and support periodic reporting requirements.
- Support process improvements including automation and enhancement of treasury workflows
- Support month-end and year-end closing activities, including financing schedules, intercompany funding records, and liquidity reporting and year end audit.