Full-time Posted June 08, 2026
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Job Description

Responsibilities

  • Liquidity/Cash Management & Forecasting
    • Oversee daily cash positioning, cash concentration, and funding strategies for frictionless operational liquidity.
    • Maintain sophisticated short- and medium-term cash flow models, performing variance analysis to improve predictive accuracy.
    • Oversee and improve working‑capital models, setting targets that align with corporate financial goals; liaise with business owners to implement strategies for successful execution and track results.
    • Subject‑matter expert (SME) for Kyriba Treasury Management system, driving further automation of manual workflows across the Treasury team.
  • Debt & Capital Markets Support
    • Serve as the primary lead for the company’s revolving credit facility and bond portfolio; ensure compliance with all agreements and indentures.
    • Execute and manage debt principal & interest payments, including daily borrowings/...

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