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Role Overview:
- Responsible for optimizing cash, liquidity, and currency exposure across multiple international entities.
- Combines analytical depth with cross-functional influence, working with senior finance leadership and external banking partners.
- High-impact role where decisions directly influence financial stability and global operational effectiveness.
Key Responsibilities:
- Forecast operating and capital expenditure liquidity needs, supporting scenario modeling and free cash flow optimization.
- Oversee treasury systems and process improvements, including implementation and enhancement of treasury management tools.
- Collaborate with accounting, FP&A, legal, and auditors on intercompany transactions, reporting, and compliance requirements.
Work Environment:
- Fully remote and distributed working model with global collaboration opportunities.
- Exposure to senior leadership and high-impact strategic finance initiatives.
- Flexible work environment designed to support autonomy and balance.
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