Descripción
As a Senior Cash Analyst, your main responsibilities would be:
-Supporting of the Cash Flow Budgeting and Forecasting processes:
-Monitoring KPIs to the Divisions and Businesses.
-Challenging submissions, identifying risks and opportunities.
-Understanding variances to budget, forecast, and prior years, (month, year to date and future months)
-Coordinating Cash Flow Reviews with Divisions and Businesses.
-Deliverable tracker in relation with Net Cash Flow Processes.
-Deliverable tracker in relation with Pooled Cash.
-Coordination of monthly receipts payments (bank accounts flows) and alignment with Net Cash Flow forecasts (accounting perspective).
-Monitor and control weekly cash balances, tracking differences (Actuals vs Forecast) on a weekly basis.
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Tipo de contrato
Sin especificar
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Salario
35000 - 35000 Bruto/Año