Main Purpose:
To perform designated responsibilities on a day-to-day basis as laid down in this document and supporting operations besides assisting in other initiatives.
Knowledge Skills and Abilities, Key Responsibilities:Cash Flow Forecasting
Support on liquidity analysis & working capital management
External debt reporting via HFM
Liaise with multiple stakeholders for implementing & driving the working capital project along with other projects that would be initiated in near future.
Review weekly sales forecasts of respective countries & initiate remedial measures as required
Monitor KPIs for the project along with structuring them for reporting & analysis to core stakeholders
Develop and maintain reports towards improving the accuracy of project outcome
Any other adhoc reports, analysis etc for Global Treasury
ExperienceDegree Educated or equivalent
Experience preferably in Cash Forecasting & Liquidity Management
Ability to handle multiple stakeholder engagement
SkillsPossess strong numerical and analytical skills
Good verbal and written communication skills with the ability to articulate complex information
Proficient in Microsoft Office especially Excel & PowerPoint
Reporting StructureTeam Lead - In House Bank
Key Relationships and Department Overview:Treasury (Region & Operations)
Local & Regional Finance
Supply & Trade Finance
Commercial
* Business Support
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