Reporting to the Assistant Treasurer - Cashflow and Regions, the Treasury Manager will be a key player in business partnering Global Supply Chain and Procurement teams in driving cash management strategies to optimize liquidity and working capital. The incumbent would need to develop a strong understanding of the Supply Chain and Procurement team deliverables and plans and identify on impact of business plans to cash flow forecast and delivery.
The role will require strong global/regional treasury knowledge that underscores the evolving role of the treasury function as a strategic business partner amidst a landscape of economic uncertainties. For example, Treasury considerations like payment currencies, potential FX impacts, country regulations on payments etc. that need to be brought to the forefront of Supply Chain discussions when reviewing manufacturing footprint.
Key Responsibilities
Business Partnering Driving Cash and Liquidity Management
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