Oversee daily liquidity and treasury operations in a fast-paced financial environment.
Manage cash positioning, optimize liquidity across subsidiaries, and ensure operational efficiency in banking and treasury systems.
Provide critical support for cash management strategies, reconcile cash flows, and coordinate closely with capital planning and finance teams.
Jobgether is a Talent Matching Platform that partners with companies worldwide to efficiently connect top talent with the right opportunities through AI-driven job matching.
Develop and maintain accurate cash flow forecasts, working with finance teams to anticipate liquidity needs.
Lead treasury operations, ensuring optimal cash positioning, efficient bank structures, and timely execution of cash movements.
Manage global bank relationships, including account oversight, fee analysis, service evaluations, and KYC compliance.
SAS is a leader in data and AI, transforming data into intelligence through software and services for customers worldwide. Recognized for its inclusive culture and innovative technologies, SAS offers a dynamic and fulfilling career experience.